Finally my short is coming. Average short at about 78.85. My risk managment got me out 3 times, I was just about to give up on this short but when it spread up to 78.92 (short rally in the futures), I saw an opportunity to take advantage of the spread and sold short to the buyers that was coming in. It ended up being the right call and been steady profit taking ever since. The stock is down 45 cents from the high. I see my exit at 50% of the rally which is about 45 cents, I will set the 78.50 as the pivot point, so I am taking my profit now. Maybe going long a small position.