Mine are IOVE, PMDP, and I'm going to give BESE a little more time to start moving. IOVE is definitely the one I'm paying the most attention to. I've also got some option contracts on the table too....Own Oct. calls on AAPL/185, RIMM/70, GS/180, CME/300, GE/16, TSO/15, BAC/17 and long Nov. SPY 108 puts. I'm bearish but, you can't fight this tape. However, most of the above big boards are getting pretty toppy so, I'll probably be rolling out of them Mon. or Tues. I'm still mulling over ICTY.
-Dave-