Things are looking to be going my way but I've decided to move my exit point to reduce my losses.
BBRY's exit point is being moved up to $10 a share. If it goes below that, take the loss and exit the position.
HLF's exit point is being moved down to $46.50 a share. If it goes above that mark, take the loss and sell the contracts.
I don't expect them to break through these unless BBRY fails to meet analyst expectations with their next ER and HLF actually beats analyst expectations. We'll see in a month or so.