As is said, eventually all trends revert to the mean. In regards to the S&P then, should it not at the present time be around 500, instead of 2,100?
http://finance.yahoo.com/echarts?s=^GSPC+Interactive#{%22range%22%3A%22max%22%2C%22scale%22%3A%22linear%22}
What's behind this distortion? Could it be blamed on the rise of financial "derivatives"? How much longer can this go on? Will LBSR ever prove it's metal?
Too many questions, and too few answers. Such is life.