Inflation, Stagflation, Recession, Rising Rates--
--Sellers Return with a Vengeance
--Expected Move and the 2 sigma beast
--CPI too hot to handle
--Bonds / Yield curve inverting 2yr vs 10yr
--Big selling with a lack of volatility intensity
--Volatility futures Inverting ?
--Dollar explodes higher
--Metals rebound
--FOMC, does the FED matter?
SPX Expected Move--
--last week-- 101.86 (expected move)
--next week-- 131.85 (expected move)
