Its the BUCK, among other things>"In its report Bank of America noted that overall, fund managers were long stock markets in Europe and Japan where the benefits of a strong US dollar will be more pronounced, and short the US and UK stock markets where policymakers are prepping for the first interest rate hike since the financial crisis."
That 2007 getting thrown out a lot lately...
But the JUNK Bonds, and MARGIN buying are whats worrying me....
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