The range of estimates for the quarter are: -0.05 to -0.10. Any significant change from that will see some volatility otherwise I do not see any significant resulting from the earnings report.
I reduced my exposure here today and broke even, will see what happens after earning. If it drops, great I will add and down cost average on my small position. If it stays even then I will get back in. If it jumps, my bad, but the way it sounds, that's highly unlikely to happen.