not up-dating or my computer is bumped-off the Internet or packers are having submission problems. The bottom line is that the final Purchase Index is going to be late.
From the afternoon reports the model projected that the CME INDEX component on the 11-7-14 kill would drop between -0.40 and -0.70. It would be nice to have a revision before the market opens.
I carried a couple of short ZZZs through the weekend. The early morning quotes are saying that was a very dumb idea.
Best wishes,
dhm