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Jim(obviously the intellectual Jim)would like reasons.....here are mine......1)purchase of AKR and EQY----->I had no grocery anchored centers among my holdings, so it is an attempt to diversify by sector; I felt these were pretty defensive in a rather ambiguous(to me, at least)economic environment.....I couldn't decide between the two so I bought both......I think I bought at a decent price on a pullback...both are rather thinly traded, AKR more so than EQY, and I will look for further opportunities to perhaps add.....as for the sale of LHO---->I sold 1/3 of my holdings; it had come too far too fast and was back at pre 9/11 levels despite the fact that there was a dividend then and none now(or 0.01)....
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