I think there is now a very high risk now that commodity stocks will collapse in the next few months along with the wider market. The bad news is building up - the UK will probably crack long before the US (given the mess its in), but ultimately all stocks will be sold off aggresively. This week was a mere taste of whats coming imho.
If the expected news does come this week and gives a lifts the share price into the twenties, I suspect those selling into the rise will be proven to be the smart ones.