Dumped a lot of non-core, non-gold holdings on close and short ASX200 via CFD's. Don't like the smell of this at all...Could be wildly wrong, let's see. Hard to say why sixth sense maybe. Have noticed risk appetite has been crazy across the market and we are way, way overdue a US market correction (5-10%). The outlook is just too rosy, Goldilocks market can't last forever?
Thoughts?