Who is done much analysis on the large inventories markets and FX? I guess futures or anything else also. I am interested in the correlation between the management of those. Has anyone noticed a reliable top indiion? Or is it one of those things no one talks about?

Sure, allow me to do all of the work!

I am of the view that by the end of October, we will see a substantial pullback on the US equities markets and the world generally. Led by the united states, but triggered.

Assuming a comparative drop in the comprable pairs, what could a drop in the DJIA to, say around, 9000 like do to the various pairs?

Is this worth exploring? Suggestions on how'd you approach it?