Scotty,
I sold some at .0007, and then the rest at .0016. I called the two breakout moves, at both levels, AND I called that we would be back to the .0007-.0008 range within a day or two. That is why I sold the remaining at .0016. Everyone was calling me dumb on this board, but look who's come out on top of all this. Me, DoctaPharm.
Debating buying more, at the day low as I only picked up a few hundred thousand at .0008, as the 50 day SMA and 200 day SMA are about to cross.
IMO
Even without news the golden cross is about to occur if these levels hold another day. Risk Vs Reward, the balancing act I am trying to perfect at the moment.