re: #644 ArchangelMichael
I sold all my C this morning, as well as the call options I had for it for June. I still have the September ones though. I was up 30-50% on everything I had except for them and the silver ETF in the course of 2 days.
The initial 200 point gap up was due to C, the rest of it was CNBC lemmings jumping into buy on Fwank statements, and a short covering rally that it produced.
Should I cash out on my one day gains then or wait a bit ? My broker predicted over 7000 by 1 April, but I’m still nervous about Friday’s numbers.