Premarket at previous buy point where we witnessed a sharp rebound from here , this buy point is a 40% discount from the top
I will open a call position at the market to play this rebound scenario with Friday maturity if not I let it open till Weds then cut my loss if any ;
Same time I will add some share to my long portfolio if price continue to go down;
this is no a warranty win but I believe some computers are set to buy at this price point like last time
This Chinese delisting is a non event to me as the time frame is 3 years so just short term noise to take advantage.
Not an investment advice and trade at your own risk
Good luck