RTL - Actually for me it does not. I think I am a willing to accept less return in exchange for less downside risk. My goal with the companies I invest in is to capture about 80% of the upside and try to only expose myself to about 50% of the downside. Your choices are certainly an agressive group and they may well go lots higher. I own MMP, PAA and SXL (in small quantities for a lot of years). I wonder if they can continue thier big growth? Storage has been hot in tyhe MLP arena but again that profit can disappear. Have not looked at FUN in years. Presume it got pummeled last year. Will take a look. Again RNF is one I have traded like a stock.