Big shift today, somehow still up here in accts on session. [typing fast - excuse the poor edit]
Below 805 (SP500) is my pivot to be more short than long and increasingly so if that worsens.
Trades are on the Twittspit. More here later.
Other new shorts today include MFC and RSH, to go with the QID. Previous shorts still held, AXA and ELOS. Longs greatly reduced, but still in RJI, MYGN, ARST, PMCS, WNR, TSYS, MNRO and IOC at this point.