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ETFsector.com Daily Trading Outlook

September 19, 2025 S&P futures slightly higher Friday after U.S. equities rallied Thursday, with the S&P and Nasdaq closing at new highs and the Russell 2000 breaking its Nov-21 record. Big tech and semis led gains, highlighted by NVDA’s partnership driving INTC up 20%+. Asia ended mostly lower overnight, while Europe is up ~0.4%. Treasuries […]

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ETFsector.com Daily Trading Outlook

June 25, 2025 S&P futures are flat Wednesday morning, following Tuesday’s broad rally that pushed all major indexes up over 1%. The S&P 500 is now less than 1% from its mid-February record, while the Nasdaq 100 hit a new all-time high. Outperformers included crowded shorts, semis, cyclicals, cruise lines, banks, builders, and China ADRs.

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ETFsector.com Daily Trading Outlook

June 24, 2025 S&P futures are up 0.8% in Tuesday morning trading following Monday’s equity gains, led by TSLA on its Robotaxi launch and strength in airlines, builders, regional banks, trucking, and utilities. Energy lagged amid a sharp oil selloff. Global markets are broadly higher, with Asia and Europe up over 1%. Treasuries are steady

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ETFsector.com Daily Trading Outlook

May 13, 2025 S&P futures are down 0.4% following Monday’s 3% rally that left the S&P less than 5% below its mid-February all-time high. Ten of 11 sectors advanced Monday, led by big tech, apparel, transports, and most-shorted names, while staples and utilities lagged. Overnight, Asian markets were mostly higher, with Japan and Taiwan leading,

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ETFsector.com Daily Trading Outlook

March 25, 2025 S&P futures are flat Tuesday morning, following Monday’s strong, broad-based rally that saw all major US indexes gain over 1.4%, the S&P 500 close above its 200-DMA, and ~85% of index constituents advance. High short interest, Mag 7, momentum, memes, and cyclicals led the way. However, low volumes and lingering skepticism about

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ETFsector.com Daily Trading Outlook

March 24, 2025 S&P futures are up 1.1% Monday morning, near premarket highs, following a mostly higher finish for U.S. equities last week. The S&P 500 and Nasdaq both broke four-week losing streaks, despite ongoing underperformance from big tech. Treasuries are weaker with yields up 3–4 bps, while the dollar index is down 0.2%. Gold

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ETFsector.com Daily Trading Outlook

March 21, 2025 S&P futures are down 0.4% in early Friday trading, reversing modest gains seen earlier in the session. This comes after U.S. equities finished mostly lower on Thursday in a quiet session with little macro news. Despite the choppy tone, major indexes are still on track to finish the week higher, led by

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ETFsector.com Daily Trading Outlook

March 17, 2025 S&P futures down 0.4% following Friday’s sharp rally, which marked the S&P’s best daily performance since Trump’s 2024 election win. Despite the bounce, the index still logged its fourth consecutive weekly decline. Asian markets mostly higher, with South Korea, Japan, and Australia leading gains, while European markets are mixed. Treasuries firmer, with

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ETFsector.com Daily Trading Outlook, December 20, 2024

S&P futures are down 0.8% Friday morning following Thursday’s mostly lower finish. The Dow managed a small gain, breaking a 10-day losing streak, while semis and homebuilders underperformed. Big tech was mostly higher. Treasuries firmed with a bull steepening curve, though rates remain higher for the week. The dollar is down 0.2%, gold up 0.3%,

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ETFsector.com Daily Trading Outlook, December 19, 2024

S&P futures are up 0.4% Thursday morning after a sharp selloff on Wednesday, with the S&P posting its second-biggest decline of 2024 and the Dow falling for a 10th consecutive session. Asian markets were broadly lower overnight, while European markets are down over 1%. Treasuries are mixed with a steepening curve after Wednesday’s rate surge

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