Imo much better value in Europe, Australia & Asia than US market, which is going parabolic. I've sold most of my US stocks, will sell the rest over the next week or two as it goes into very overbought. The leverage in US is worse than in 2000 & 2007! Dow & S&P500 are way above 200 day MA, it's an accident waiting to happen. So of the 50% I have in stocks, 40% cash & 10% golds & silvers, 10% are US, 20% Europe, 40% Aussie & 30% emerging markets. I plan to go 0% US in the New Year, & 50% cash & double the gold & silver. Will go to 80% cash in a few months. I'll buy after US market lines up with the reality of their pathetic economy. Cheers