- BUY corporate debt
- BUY high dividend-payers
- BUY risk
- BUY banks (and their debts & assets)
Repeat daily until the Fed stops QE and the Financials retreat...so says my crystal ball, but it may only be an illusion. ;-) (I'm watching for a breakout and hold above immediate highs on XLF to confirm and substantiate any further equity advance.)