1. Do the airline stocks and oil continue to trend strongly in opposite directions?


2. Do we see a continuation of last week's sell off in small caps and does that translate to a mini correction?

3. When risk (high beta small caps/high yield) is sold do we see a continued bid in Utilities and Consumer Staples?


4. Keeping an eye out on high yield bonds ( HYG ) and Investment grade corporate bonds ( LQD ) for clues...

What are you watching this week?