Looking at the global financial situations with Greece, Puerto Rico and now China, if you had a greater than 50% confidence that a 50-75% downward correction was coming to the US equity market where or to what would you move the taxable portion of your portfolio(cash, change in mutual funds or stocks ??).
It goes without saying (as a disclaimer) that you can't predict the market.
It goes without saying (as a disclaimer) that you can't predict the market.