I don't know what tomorrow will bring. We are in or near the short term buy channel between 10.6 and 11.0. The technical tea leaves are pointing to a buy. The fundamental tea leaves are harder to read, since they are so tied to the fits and starts in this economy.
Positive??? They are laying off workers because they dont have any demand. Thats positive. I am selling thursday, time to throw in the towell. There are hundreds of better companies to invest in that arent so risky and have a management team that occasionally hold investors hands during tough times. Not these guys. You know why. There is not one miserable son of a bitch in upper management that owns any stock other than through options. They have no idea what its like to risk money on a stock. They have nothing at risk. Its a game to them, except they cant lose. Only we lose.