Risk analysis... Option 1 - Save a few pennies by selling out now and guessing the bottom of the trend and buying back in. What can you save?? maybe 5-10-15%. Risk missing the announcement of a sale and the upside of potentially 50-200% increase in SP. Option 2 - Hold and definitely receive the upside.
I know what i'm doing. Don't get me wrong if you have extra dollars throw them in at the perceived bottom, I just wouldn't sell to minimize short term losses.
LNC Price at posting:
$1.58 Sentiment: Buy Disclosure: Held