I think SCI is a good counter. big time paper losses for me but I am starting to worry about SMM if it will drag SCI to force issuing of rights maybe to buy out SMM. long term might be good for SCI but short term for people like us who is holding at $3.60 and above is kinda zzzzz...
what do you people think? sell at rebound or just hold and average down or do nothing. holding 20 lots of sci
Your lots is 100 or 1000
SCI already 15% of portfolio and its -40% now 