Baba the Option Guru,
I have been very critical of this management crew since I have been an investor in the company. For goodness sakes they settled a class action suit based upon over-promising and underperforming. Of late Al and crew seem to under-promise with the intended result being to over-perform.
On timing of upcoming PR's what kind of impact to August 13 and March 2014 options would we see if management were able to pull a rabbit out of their hat and beat the timing expectations? I am thinking there might be some opportunities surrounding those 2 binary events that could be exploited.
Thanks in advance.
Swing