I tend to agree with some of what you are saying
I think however markets in the US at least will in fact go on to put in one final new high by Christmas before finally rolling over as valuations normalise under a non QE pumped market but that this "normalisation" will be a violent correction/crash as there will be too many people rushing for the door at the same time
How does your above 6.5 yr analysis look when placed on the DJIA and SPX?
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