I have $BATS (+0.27%) and $PG (+0.67%) sold them. I’d had both in my portfolio for several years. Bat doubled in value during that time, but I don’t see it continuing that way, and they’ve also dropped quite a bit since I sold at 55 euros. Procter & Gamble has more or less been treading water, and I got out at 126 with a small loss. I just can’t see them acquiring, say, something like $LDGL (-0.37%) or $TDIV (+0.29%) .
The proceeds went into that as well.

