We find ourselves in a dismal equity market. Bond prices are falling. Even REITs leverage limits are shaky. I have reviewed some S-Reit current leverage. I am concerned. If valuation falls and interest rate rise, what then? The regulatory limit may be triggered. We are finally close to the edge. Perhaps a recovery is near. What should an intreprid investor do? What is the best way if one wish to bet on recovery? My thesis: short the USD and long commodities currencies. More directly, long commodities. Please note that while i am invested, these bets are risky. Currency and commodities future have ruin many. Consider the thesis at your own risk. $Canadian Dollar - Dec 2023(CAD2312)$