Not me fluffy.
Long is not where I'm going to be now until I get some sort of pattern I recognise b/c supports are meaningless at times like this imho.
There was the outside up bar on the S&P500 weekly so I still favour a low tomorrow at 45 days from 8/9/11. There are buyers are around, just at lower levels than 1200.
The put call ratio isn't quite right for a crash, last time I looked, although Bullish Percent over 50% is concerning.
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