FOR A FISTFUL of $$$ scenario:)

160 0 0
Ratios of S&P             vs. VIX             /// VIX             vs. DOLLAR INDEX             & BONDS vs. $index.


Coffins could be for VIX             , BONDS & $Index...

Different timeframes of these charts can reveal a lot what will happen.

This scenario probably would mean buy in decemcer and sell ifor correction in february/march.
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