We will likely gap up tomorrow as long as nothing new emerges out of Europe. That is a considerable asterisks as the problems in Europe are real but the timing of the realization is a mystery.
While this potential crisis does make me nervous, I am sticking with my modest core holdings and my trading longs. If we get a day where Europe is on the back burner and we see some call buying I would likely ditch my trading longs. Have a good night.