Chickened out, covered @ 483, but re-shorted @ 10480, stop now @ 10479. Looking for large drop(100++), panic selling, dog and cats getting along in harmony.
Got out Break Even at 474.. didn't have the stomach to take a loss on a 9 car position.
That was a horrible trade. It began as a failed scalp on a momentum breakout at around 485... thus convincing me that it is headed up, I bought the dips.
And I let a +10 pt profit get away on 9 car position. That was sad. Horrible... can't believe it, I thought it was headed even higher.