You have been all over this move. I tip my hat to you. The players cannot ignore the data anymore. The next 30-60 days data are critical for this bull to continue. What I have noticed the past couple of months is that the monthly revisions of data are consistently worse. Are they consistently getting it wrong on purpose? My long-term objectives remain 400-500 handle in the S&P's and 135-136 in the T-Bonds.
geez, when Barry Bonds blasts one, and it hits the top of the wall, and he runs for an inside the park homer, do you mock that for not clearing the fence as well?
Very much depends what I am going to do; if I short S&P now, definitely it will go higher and higher.....luck is always against me, whatever I do, the opposite outcome will come out!!!
Anyone need my help to move the market higher; if so, I am going to short now.