一直感觉债顶是潜在利好因为这个所谓危机已被市场普通股民公认为大利空.but smart money knows the debt ceiling will be raised soon or later.so 大资金更愿意选择after the deal离场 而不是before the deal.So before the deal, although uncertainty, 其实maybe a kind support because of the expectation of the deal coming.After the deal, 普通股民接盘意愿高, 大资金离场easier. 1-5 days after deal 的市场反应很更重要,量最重要 看:1.大量大涨,我错; 2.大量小涨;.大量大跌,小跌: I may be right,市场 may at lease test SP1250