High yield default cycle, zombie banks and collapsing China just what the future holds once reality returns and machines turn the dial.
Stay long above 2060 go short below 2060, a move below 2040 is a market sell signal, over 90% of stocks above 50EMA, earnings key.
Volatility is still low, before disaster come we may see a couple of weeks of side-way action. Even if we have 2-5% decline, most likely we will have a bounce up. If it happens and Volatility on the S&P 500 goes up (14-ay ATR moves above 1.3%) then we may talk aout a coming disaster. If we do not se increase in voltility then we cannot expect a disaster. Low volatility = calm investors.
Hard to find a good trade location to short, this is a one sided market technicals don't mean anything, machines terminating shorts.