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ETFsector.com Daily Trading Outlook

December 15, 2025 S&P futures are up 0.5% after Friday’s broad selloff that pushed the S&P 500, Nasdaq, and Russell 2000 down more than 1%. Last week was mixed, with tech and momentum pressured amid renewed AI scrutiny, while cyclicals benefited from rotation. Asian markets were weaker overnight (South Korea, Japan, Hong Kong all down […]

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ETFsector.com Daily Trading Outlook

December 4, 2025 S&P futures are little changed after U.S. equities advanced on Wednesday, led by small caps with the Russell 2000 up nearly 2%. Retail favorites, high-beta names, most-shorted stocks, and value trades outperformed. Asian markets were mixed overnight—Japan rallied more than 2% while Mainland China slipped slightly. Europe opened higher by ~0.4%. Treasuries

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ETFsector.com Daily Trading Outlook

August 1, 2025 S&P futures down 1% in early Friday trading, following broad weakness in Thursday’s session. Initial gains from upbeat MSFT and META earnings faded as pressure resumed in pharma, med-tech, biotech, banks, asset managers, and energy. Asian markets declined sharply overnight, led by South Korea (-4%) and Hong Kong (-1%). Europe also down

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ETFsector.com Daily Trading Outlook

April 25, 2025 S&P futures are up 0.3% in Friday morning trading, extending a strong week for U.S. equities. The S&P 500 logged a third straight 1%+ gain, while the Nasdaq rose over 2% for a third consecutive session. Tech, cyclicals, and high short interest names have led the rally, while consumer staples have lagged.

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ETFsector.com Daily Trading Outlook

April 24, 2025 S&P futures down 0.3% Thursday morning, off earlier lows, following a strong two-day rally that saw the S&P 500 notch its first back-to-back 1%+ gains since the election. Wednesday’s strength was led by the Mag 7, shorted names, and retail favorites. Treasuries are firmer (yields down 2–3bp), the dollar index is off

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ETFsector.com Daily Trading Outlook

April 23, 2025 S&P futures +2.1% in early trading following Tuesday’s strong rally where all major U.S. indexes rose at least 2.5%, with ~98% of S&P 500 stocks and all 11 sectors finishing higher. The Mag 7 snapped a five-day losing streak, and high-short-interest and cyclical names led the move. Asian and European equities followed

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