I'm holding for the long haul. It should go back into the 60s. If the opportunity arises I may pick up more cheapies, but I have to be careful not to have too much crap in margin if it falls again.
I had to sell most of what I had to keep from incurring margin debt just before it took off this last time. Really pissed me off. If I could have just held it a couple of more days I would have made $5000 instead of $150.