looks like investors are moving back to US secular theme ( on US oil & gas growth/production + stable yields) , given issues with europe and global slowdown.
reminds me of last 2 yrs when MLPs had bull run,
I did sell the 57.50 calls this month, didn't think it have a run like this. Now I have to decide to let it go or buy the calls back and a pretty high premium. Selling the calls wasn't the best decision.