Most likely trading scenario MondayWill be an open near Friday's close, which is also the low of the day. Will rise close to $28, may fall back to the $27.60 range or close at the days high ($27.80 - $27.90). 50/50 chance. Then choppy for a week or 2. News will nullify this projection and the stock could move rapidly in either direction depending on what the news is. Ex divy date won't have too much of an effect next week. If we close lower on Monday means I am wrong and may take some off the table. But I'm pretty sure I am right.