I think 425 is pretty well priced in. I am guessing it would take 450-460 for significant upside on P&D alone. Investors want to know that despite one-time headwinds that the story is still intact. significantly building inventory would likely be the only real gotcha.Found one. Tomorrow afternoon we’ll see how accurate it was:
P&D - Basic Framework
400-410k = no bueno
410-420k = drop then pop
420-430k = closes green
430k+ = straight up
(Credit: SSpencer)