If I've learned one thing about this stock after owning is for the last four years it is that technical analysis is useless. It tanks for no reason sometimes. Other times it shoots to the moon. It could be at $25 next week or at $10. Keep in mind one thing. The short position has been waiting along time for a price drop to start covering on. If it starts to show some strength upward we may see some scrambling to finally close out those short positions below $20. At 1 million plus short it could rally quite a ways before settling down. I hope I'm right. I'm not selling my shares anyhow.
Does anyone have any ideas about actual numbers for the next 2 Qs? Company release just said they would be affected. Are we looking at flat? 25% decrease? break even? Any informed discussion would be appreciated. Someone mentioned $1.77 for next year rather than 1.90. Where did that come from? Kenney?