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ETFsector.com Daily Trading Outlook

December 23, 2025 S&P futures are little changed in early trading after a firm but low-volume Monday that left the S&P 500 just shy of a fresh record. Leadership remained risk-on, with retail-investor favorites, AI enablers, high-beta names, and small caps outperforming. Treasuries were firmer (yields down ~1–3 bp), the dollar fell 0.4% with yen […]

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ETFsector.com Daily Trading Outlook

November 7, 2025 S&P futures -0.3%, near premarket lows, after U.S. equities fell sharply Thursday, with three of four major indexes down over 1%. The Nasdaq 100 logged its third >1% pullback in six sessions, as AI, retail favorites, and most-shorted names led declines. NVDA and TSLA were the weakest of the Mag 7. Other

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ETFsector.com Daily Trading Outlook

August 6, 2025 S&P futures +0.3%, following a quiet Tuesday where equities finished mostly lower on soft economic data. Tech lagged, while small caps, managed care, regional banks, airlines, and homebuilders outperformed. Overnight, Asian markets were mostly higher with Japan, China, Australia, and Singapore all posting gains. Europe is modestly green, up ~0.2%. Treasuries weaker,

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ETFsector.com Daily Trading Outlook, February 5, 2025

S&P futures down 0.6% Wednesday morning after US equities gained Tuesday, led by small caps, tech, consumer discretionary, and energy, while cosmetics, pharma, and managed care lagged. Asian markets were mixed, with South Korea up over 1% and Hong Kong down nearly 1%. European markets slipped ~0.3%. Treasuries strengthened, bringing 10-year yields below 4.50%. The

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ETFsector.com Daily Trading Outlook, November 6, 2024

S&P futures are up 2.2% Wednesday morning, following a broad rally Tuesday with all major U.S. indexes rising over 1%. In global markets, Asian trading was mixed as Japan climbed over 2.5% and Hong Kong dropped more than 2%, while European markets gained nearly 1%. Treasuries faced pressure with a bear-steepening curve; the 10-year yield

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