AT&T is among the bluest of blue chips in the world. Recently the share price dropped a little bit so I decided to make a move on it. I still wanted to maintain the debt strategy I’ve set to myself so I pretty much had to sell something. Betsson in the other hand was originally purely speculative play on my part. I initiated a position on it with suspicion of share price engineering to benefit management through their bonus program. Funny coincident that there’s similar bonus period coming up soon. Then again the management is proposing initiatives I don’t fully understand. Based on this I assume that there’s a good enough change to buy shares back with cheaper valuation during the summer and sold all my 230 shares for 74,90 SEK per share. This translates to a minor loss. I then proceeded to to buy additional 37 shares of AT&T for 39,00 USD per share.