What's the likelyhood that the score since October (price) will be the eventual outcome and that we're just playing through the rest of the innings (time) for the next 6-8 years?
Zeev, new chart, same data. Just for kicks I charted the difference between the S&P PE and the "Risk Free PE" over that same period. It doesn't really add anything new to the discussion but, for those like myself who are very visually oriented, it paints a picture of what you said in your last post.