This is getting ugly. I made a choice to average down, only if this goes in the 60s this way if I goes back to a dollar I can average out.
Im afraid that, with all the good news sent out the last 365 days, what will cause this to spike to levels we saw 1 35 -1 50 range. Its like we had 8 bullets in the chamber and have fired 6 of them and with those two remaining bullets what can it bring , besides getting us back to the 1 35 range.
I would average down now, the problem is we have too many days of volume below 10,000 and in some days in the hundreds, it places to high of a risk.
Come on Oracle think about the SP should it not be a concern with a 52 week low.