My rationale is that the downdraft into friday is much too overdone, more so than usual. I can be wrong, as I have been all day, and then we are in for a nasty monday morning. It seems to me that much hangs on the US. They are jittering over inflation, but oil is falling today in spite of an explosion of a pipe line. I am counting on a rebound there to take us up. The nasty loss for the day is 27.5 points, with a close at 1017.5, high of 1039.5 and low of 1015. Pretty much wipes away the accumulated profits for the period since the journal started a month ago, let's see if we can get some vendetta on monday.