I was waiting for the holidays to be over expecting the market would make up its mind. I guess it did. The market exposure model is still long at a +4 exposure. The NASDAQ stopped short of the 50-day or we would have been at +3. The distribution count is 6, a full count. I spent the day moving off of margin and raised some cash by selling lagging positions. I am still in KORS, PCLN, ISRG and LNKD.