as i wrote(on this thread) a week ago my target was 34c and i jumped-out today. IDL was waaay oversold and was a bargain at 25-26c and i sensed SP would rebound strongly. Med term the SP could keep heading north, but i am nervous re fragility of world economy and took profits. Good luck to holders but don't wait for 50c again anytime soon unless some huge contracts are announced.
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