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ETFsector.com Daily Trading Outlook

S&P futures are up 0.2% Wednesday morning after Tuesday’s momentum unwind, led by sharp pressure in memory and semis. Alts and select cyclicals also lagged, while defensives such as Staples and Healthcare outperformed, and some software/AI losers held up better. Asian markets were mixed overnight, though South Korea bounced more than 3% after Tuesday’s 10% […]

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ETFsector.com Daily Trading Outlook

S&P futures are down 0.3% Thursday morning after Wednesday’s rally, when the S&P 500 snapped a three-day losing streak on renewed Middle East optimism. Momentum rebounded sharply, with semis up roughly 4.5%, while cyclicals also outperformed, led by banks, homebuilders, machinery, and travel names helped by the oil pullback. Treasuries are slightly weaker, with yields

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ETFsector.com Daily Trading Outlook

August 12, 2025 S&P futures up 0.1% after U.S. equities closed mostly lower Monday, with weakness in software, E&Ps, transports, commodity chemicals, building products, homebuilders, and industrial metals. Retail favorites, most-shorted names, and semis outperformed. Asia mostly higher overnight (Japan +2%, China up for sixth straight day); Europe flat. Treasuries little changed, gold -0.2%, Bitcoin

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ETFsector.com Daily Trading Outlook

July 14, 2025 S&P futures are down 0.3% in early Monday trading after a mostly lower week for U.S. equities. Defensive sectors such as consumer staples, money center banks, software, and managed care underperformed, while AI, energy, airlines, hotels, and homebuilders led. Momentum factor names continued to lag. Asian markets were mixed overnight, while Europe

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