well the headlines in the US make a lower close all that much easier for market makers ending the 2012 Tax year
U.S. Stock-Index Futures Fall As JPMorgan Drops On Report
http://www.bloomberg.com/news/2012-06-28/u-s-stock-futures-decline-before-european-union-summit.html
Barclays Tumbles As Libor Fine Sparks Lawsuit Speculation
http://www.bloomberg.com/news/2012-06-28/barclays-tumbles-as-libor-fine-sparks-lawsuit-speculation.html
U.S. Home Loan Banks Overexposed In Europe, Audit Finds
http://www.bloomberg.com/news/2012-06-28/u-s-home-loan-banks-overexposed-in-europe-audit-finds.html
UK
Cameron Faces EU Exit Call As Leaders Press For More Integration
http://www.bloomberg.com/news/2012-06-27/cameron-faces-eu-exit-call-as-leaders-press-for-more-integration.html
but just like in the past the market will adjust to any news good or bad......its never failed to recover from the worst or the worst....just takes time.....
I'm glad i'm investing in something thats in growing short supply and buying when its unloved.....and way off its highs........
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