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To: P.Prazeres who wrote (21840)5/11/1998 6:51:00 PM
From: waverider  Read Replies (4) | Respond to of 95453
 
Went shootin' flowers early this mornin' (photos, not bullets) but saw the market as I left. "Hmm...some nice run ups again," I said to myself.
From the looks of today's posts, many of us were thinking along the same line with the thought of taking a profit or two wouldn't be a bad idea. So...

Considering the speed we've moved this past month I've been considering cutting back on the options and margin purchases in my portfolio. So I sliced my ESV shares this morning by 2/3rds and sold my June options as well, along with the NE September options (on Friday).

Out of margin...but I still have a few options on FGII and UTI.
Still loaded to the gills with TMAR, CDG, FGII, MDCO, EVI, VRC, DO, PDE, MIND, and a little ESV and NE...long term ya' know. Sorry some of the traders bailed our thread. Would like to hear their perspective at this juncture.

<H>



To: P.Prazeres who wrote (21840)5/11/1998 9:28:00 PM
From: SJS  Read Replies (1) | Respond to of 95453
 
Paulo,

Hoffmania!! Buy now before it's too late!! I reviewed the prospectus before the IPO. Yawn.

I think we need to limit the HOFF hype to a weekly, not daily, event.

Thanks.