A small gap at 32$ that "must" be visited back in the future. Next week should be bullish in the sector. The minimun target is 36$ but it could rise up to 37,5$. Then lets see. Weekly should still be bullish, and with that in mind, exits and entering could be interesting, because new highs are guaranted, after next week. So the risk is in the short side, though I could possible do it for a day or two and with a low target of profits in mind. The secure play is exit and entering again long.