List is long for tomorrow and I still have several to close. One that I closed today that I will most likely reopen tomorrow is CPE. Other than that I'm playing away my positions as smartly as possible and working into a larger cash position. I want to be ready to react with entries and not have to worry about selling everything in order to move into whatever the predominate play turns out to be. This is not a panic sell or anything like that. I'm taking profits and holding a larger portion of the return in cash. That's it.
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