S&P NEW ALL TIME HIGHS has not seen a -2% day since April 21 all the AI circular financing stuff, concerns about US debt, rally in gold, or inflation/rate talk has not been enough to stop money from coming in BTW, money market inflows (risk free 4% on cash) inflows have actually OUTPACED stock market inflows YTD as per Goldman which means even MORE money is going risk off then risk on…what happens when that money decides to take some risk?