Well things went pretty well.
It is a 9.9% gain average on these 4.
I may revisit them if and when they get hammered once more.
I expect volatility in these 2 sectors.
(NYSE:TEVA) is down 4.41% since my purchase ... I could take the lose as the 4 other trades went well.
It would be a 7.03% gain average over the 5 trades.
But I will wait and monitor it closely to see if it may dip close to $30 in which case I will double down.
Disclosure: I am/we are long TEVA.