Had to buy some more on the morning tank, just sold everything for 2k loss, no more earnings plays for me, it's easier to scalp on the initial drop and sell. My other plays covered most of the losses.
Never fall in love with a stock they say... I'm sure this will do ok long term, but I'm not tying up my money with that forecast. Seems like the CFO is lowballing, but that's not good for the stock. Either that or their margin is shrinking for some reason.