Hey all .. I am a deer in the head lights.. and I hope this is OK to ask:)
I own 10K of NOT cash free (that is I sold 5K at 1.66 to get the dough back
I bought 40K UC@ 59 20KBMK at 40, and 8K probe at 1.40 (fk-I hate that one!!)
I'm a technology guy, and typically hold for the long haul .. and I thought like the rest of the world that the side plays would move in step .. got in too late I guess..
so the real question is - in your opinion and in your experience, would you:
sell the side plays - take your lumps and buy NOT, or simply stay the course??
This board has many intelligent people and investors, and I look to your experience and your opinion ... man my head hurts!!
Thank you in advance ..