I started reducing my position after the last earnings and got out around $14.25, only have a few shares left at this point. I did roll it into some NGL preferred as well as other preferred stocks and baby bonds. It was less a reflection on NGL and more about limiting volatility and getting stable divs.
NGL did great for me and I will continue to hold a few shares and of course I am still holding AVMXY/RCEL, which has been a grand slam.