I stopped accumulating at ~$ 13.50. Now I may have to look at selling some as it is too large a portion of my portfolio. Hard to complain about it though. The income stream has been great along the way.
Interesting enough my most profitable issues are NMM, IF, and SAN. I try to keep no more than 5% in any one issue but now the combination represent 20% of my portfolio. What do they all have in common? They are high yielding foreign issues. I am tempted to take some profits and reduce my exposure but I am beginning to believe the US markets will have a tough flat year.
Taking some profits off the table is never a bad thing to do, especially if you have a better place to reinvest those funds. However, excluding unforeseen worldwide events, NMM is not on the verge of a price collapse. And these dividends/distributions are difficult to top!
Best of financial success to you and everyone here.