I think that anyone who is long the market starting at close of Thursday (May 15) is looking for trouble. I am playing the top hypothesis (but of course staying on guard just in case). My questions are: 1. Which area(s) of the market you think will fall first? 2. Which area(s) of the market will fall the most? 3. How to play the above (ETFs, options, etc) for maximum profit and minimum risk of loss? Bears, show your teeth!