1) Corono virus fear as ignition
2) US Bond yield Y2 - Y10 invertation 2019, now following invitation even in max Repo times.
3) FED reached after 2008 crisis .
4) Significant stocks like TSLA and AAPL are massive overbought in under 6 months. Not equal of forecast in any relation
5) Oil price in downfall, very significant indicator for a slowing economy?
Gold question: How long can and will this market hold up by FED injektion and Trump noise?
Most feared indicator: Falling US10Y bond under fulllllll market injection of FED. -> Without we would stay much worser!
My first target: 2950