ASSURED INVESTMENT MANAGEMENT LLC sold 46.0% of their position (362.70K shares) of MEDEQUITIES REALTY TRUST, INC. on the open market
Open‑market sale worth $3.97M — a major position exit. Review remaining holdings and any 10b5‑1 plan disclosures.
Common Stock
Shares
−25K
Price / share
$10.95
Trade value
$273.75K
% of position
Common Stock
Shares
−25K
Price / share
$10.92
Trade value
$273K
% of position
Common Stock
Shares
−100K
Price / share
$10.90
Trade value
$1.09M
% of position
Common Stock
Shares
−25K
Price / share
$10.85
Trade value
$271.25K
% of position
Common Stock
Shares
−2.70K
Price / share
$11.03
Trade value
$29.77K
% of position
Common Stock
Shares
−100K
Price / share
$11.00
Trade value
$1.10M
% of position
Common Stock
Shares
−50K
Price / share
$10.97
Trade value
$548.50K
% of position
Common Stock
Shares
−25K
Price / share
$10.95
Trade value
$273.75K
% of position
Common Stock
Shares
−10K
Price / share
$10.92
Trade value
$109.20K
% of position
Net shares
−362.70K
Net value
-$3.97M
| Security | Date | Type | Shares | Price / Share | Trade Value | % of Position | Held Before | Held After |
|---|---|---|---|---|---|---|---|---|
| Common Stock Indirect | 1/23/2019 | S · Sale | −25K | $10.95 | $273.75K | 3.2% | 788.99K | 763.99K |
| Common Stock Indirect | 1/23/2019 | S · Sale | −25K | $10.92 | $273K | 3.3% | 763.99K | 738.99K |
| Common Stock Indirect | 1/23/2019 | S · Sale | −100K | $10.90 | $1.09M | 13.5% | 738.99K | 638.99K |
| Common Stock Indirect | 1/23/2019 | S · Sale | −25K | $10.85 | $271.25K | 3.9% | 638.99K | 613.99K |
| Common Stock Indirect | 1/24/2019 | S · Sale | −2.70K | $11.03 | $29.77K | 0.4% | 613.99K | 611.29K |
| Common Stock Indirect | 1/24/2019 | S · Sale | −100K | $11.00 | $1.10M | 16.4% | 611.29K | 511.29K |
| Common Stock Indirect | 1/24/2019 | S · Sale | −50K | $10.97 | $548.50K | 9.8% | 511.29K | 461.29K |
| Common Stock Indirect | 1/24/2019 | S · Sale | −25K | $10.95 | $273.75K | 5.4% | 461.29K | 436.29K |
| Common Stock Indirect | 1/24/2019 | S · Sale | −10K | $10.92 | $109.20K | 2.3% | 436.29K | 426.29K |
| Total | −362.70K | -$3.97M | ||||||