Low risk trade/investment in Citi.
Comment: Trade reflection 11 months later. POOR STOP PLACEMENT. Didn't consider major interior support at 45 - 47. No particular pattern. The weekly close on 1/05 was extremely negative to go long. Weekly close on 2/09 at $51 was a new signal to go long (I did not). In general this was a choppy trade as I still believe $50 at the time was a decent entry px.