This stock is the definition of high risk on either side, so the best play is a long term option spread; enter the December strikes.
If you missed the last week's signal, then have no fear. As of now, if you were to sell the December $11/12 call spread, you have a 70% chance of making 30% Return on Investment/Risk ( ROI / ROR ) for 8 months of waiting. That's pretty good odds and not a bad return for less than a year's work.
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