Its nuts. My options are essentially worthless (although there's still 17 days until expiry)...luckily as they're options to the leverage was potentially big and the loss quite limited. I see the next 2 reporting periods (this Friday the 4th and next thursday the 10th) showing larger than mormal extractions. What will the maketes do with that?
Anyway, as I noted in december there was the potential for an NG turnaround...it was just in the other direction :)
Live and learn.