Blackout period before early April results ...I guess we are at the blackout period before early April results .
Looking at late s/p history, momentums were building up prior to results published...
So far I think we saw lots of speculative selling including selling with the intend to profit from other securities vs for the sake of selling. There were good opportunities out after the minor corrections.
If we see continued increase in S/P leading to April, it may indicate good results. I will also expect a substantial corection to the correction, that may leave us at fair S/P maybe around $10.50 -$11.50 or higher.