Not Understand Where Is Problem - US or Euro ?

Just Think about that where is problem In US or In Europe ?

This Time All global indices trade in upside more then 2% because just wait for US U.S. non farm jobs Data

Expected 145 K last time 104 K
For this Good expectation all global Indices Trade In Green

Before we heard lots of problem in Euro Debt

But All European market up more then 2 % for US NON Farm Payroll Data

Forget All Euro Debt Problems

Many Times US Trade Negative because of Europe Debt Problems

So I Still Not Understand Where Problem in US Or In Europe

May Be all Game are played by big Traders create climate according to their position

So Be Aware for this Rally no need to Buy In Long side