Looks like Financial sector is pulling back. How much? Anyone can guess. I see a couple gaps back through the $46 range that needs to be filled. There is much volume coming in and the sellers are taking control. We had a break down of the sector for the past week. If it drops below the 50 day EMA it could easily retest the 100 day at $48, so a $2 spread is not a bad trade. Do your due diligence.