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End of 2010, my current long/short portfolio

Long

AAPL, ATVI, BBY, BRK.B, CHDN, CME, COH, CSCO, DELL, DNDN, FCX, GLRE, JPM, JWN, INTC, MA, MET, MS, MSFT, PNC, PNRA, SBUX, SHLD, SNDK, STX, SUN, TSCM, V, VG, VZ, WDC, WYNN

Short

AIG, AMZN, ANF, BIDU, BP, BTU, CRM, DE, ERTS, FSLR, IYR, JCP, LVS, MCO, MEE, MGM, MON, NFLX, NYX, POT, SPWRA, TM, WFMI, XHB, ZMH

Some positions are options and not outright long or short stock.  Most trades are pair trades (for example Long JWN, Short ANF).

Total portfolio is Net Long.