I sold the ESLR call options I bought yesterday for 33% gain this morning. I sold BMR for no gain this morning. I didn’t like the way it was acting, plus I had double exposure by owning both BMR and HCN. I’ve already caught 10% in HCN and I’m wondering if that is already a spot where I could take profits. Considering this is a REIT and it was a little bit of a bottom fishing trade.

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