Is this Sandy? Obama? The fiscal cliff? Just trying to figure out why a fundamentally sound company with good financials and a bevy of good news lately is moving south. Any thoughts?
I picked up after the big 20% drop at 77, thinking it was the bottom - lots of faith that this is going back up to 110-130 within 3 months - feel free to drop me a message and I can show you why. I'll be buying as much as I can under $90.