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Re: yourbankruptcy post# 30374

Friday, 04/02/2004 10:29:04 PM

Friday, April 02, 2004 10:29:04 PM

Post# of 97595
HM, so I guess the game plan can be to unload 50% of position by earning day

My plan is to unload my trading shares and options, which are about 25% of my position, just before Q1 earnings. On any pullbacks throughout Q2 and Q3 I'll write puts to reaccumulate shares or collect cash.

I'm not touching any of my long term shares. I don't plan on selling those for quite some time so daily or even weekly fluctuations are not a concern.

The only thing that would change my strategy at this point would be a major AMD botch up, which is possible with the 90nm transition still ahead.

HailMary

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