what I mean is hold a core position for the LONG haul
then trade another position
example: lets say tomorrow gaps down because of the NEW delay
Ok I sell some @ the open, and choose my rebuy on the DIP
meanwhile still holding the main core position, but trading the other on cash and/or margin
I do have a very high AVG and dont have millions of shares like some(lol)
so this strategy works for me!
If I get caught when news hits, still have the man core position(WIN) and if it goes down big time, I can either double up my shares or bank the profits!(WIN)