I've been trimming back some of my positions. In some cases (JNPR, LEAP) I am taking profits. In others (mostly energy-related), I'm so exasperated by energies/commodities that I am simply reducing risk (since I feel I am overly-exposed in that area). I'm still watching the intraday H&S on the S&P.
The market has become kind of a boring drag of late. We didn't know how good we had it in January, did we?