I'm still holding IBM M 185, only holding since I have stop loss at 2.90 (bought at 2.70). I'm the guy who went the Sharebuilder route thinking dividend stocks were the way to play the market...not happening, options is where it's at.
Also holding CRM M 115 @ .73 and F Jan2013 @ under a buck.
Ready for some weeklies next week once my funds settle. Will start to post my plays and following the UPB indicator myself for a Merry Christmas!