Doubled down on shares yesterday afternoon. Don't intend to sell CCs on those -- maybe will just before earnings release, scheduled for Wed., 11/02.
Added long Oct 28'16 $14 Calls this morning as price broke above R1 pivot.
Monitoring Regression_Channel(3,1,2) on daily chart.
Considering that volume isn't very high today, I imagine that part of the reason for price rise today is short covering. The last monthly report on short interest has it at 41.90% of float.
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