Made some moves with our stocks. Took two stocks out of the natural gas sector (since winter is all but over and natural gas stocks tend to soften when the weather warms). One at 28% long term gain of $298. One at 15% short term loss of $96.
Also sold a good portion of Google at a profit, since I'm not positive it's a sure thing for Google to race towards $500 again, or even $400.
Put the net proceeds into financial, aerospace, alternative energy, and pharmaceutical sectors.
We've been heavy into energy stocks and it felt good to take some profits from the table and diverisfy our holdings.