So we're down because:
- We're drowning in oil
- China slowdown producing capital outflow and looming devaluation sending a wave of deflation through the world economy
- Earnings recession
- Overvaluation
- Retreat of petro dollars
- Fed rate hike path too aggressive
- World drowning in debt
Did we miss something?
The question is, which of these is serious enough for stocks to tumble another leg down?

