Where to begin? The 2-day bout of volatility, the good and the bad kind? The continuing “routation”? Apple (AAPL) eking out a gain, though muted because so much good news had been priced in? Amazon (AMZN) getting whacked because they also had so much good news priced in yet came short on guidance? The Nikkei getting thrashed, down over -5% last night and having a greater than 10% correction in about 3 weeks? Or the shockingly weak jobs numbers?
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