Metals still trade weak with Platinum looking the most vulnerable.
Interest rate Futures leave me non-plussed.
European debt will get interesting after
Sept U.S. Payrolls.
Euro & EUR/JPY are into go or no go levels.
No trade for me. I want to see the price confirm or reject at these levels.
I’ve gone through the risk spreads and the individual indices.
I can make a case you’ve seen the lows of the week and the lows for a while, but I’m not willing to risk money to make that call.



