BX, FIG, KFN, ACAS all have 20+% run today.
And all of them will release quarter result next Wed.
If next Monday or Tuesday, they still have huge run, I will sell half of them.
If next Monday and Tuesday, their price drops or flat, I will keep them for earning.
LVS will release earning next Tuesday.
I believe the result of all of them will not be pretty. But looks like the market is looking ahead and ignore most of bad news.