Last weeks collapses: * Biggest employer GM forecast swings - $4B, junk debt? * FNM accounting fraud deepens with "records altered" * Biggest IPO GOOG engaging in "click fraud" according to trade press as insiders dump in breathtaking manner * First major derivative-related panic at Doral (DRL) * Deepening of fraud at title insurance/realtor overcharge (FAF) * US getting blackmailed on oil by Venezuela, Iran * EU Trade War Threatened against Microsoft, aircraft mfgs (BA) * $666B deficit- kinda evil, don't ya think?