Currently about 47% of corporate profits, a company with S&P 500 index are formed on the external markets.
Many companies are betting on the growth of their business through the recovery in foreign markets.
I believe that Europe and the emerging markets are ready to make the leap in its development.
In January there will be again Increased public debt?
All of this suggests a possible weakness of the dollar.
P.S. I tried to do button up analysis