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ETFsector.com Daily Trading Outlook

January 21, 2026 S&P futures +0.3% after Tuesday’s sharp risk-off session, with the S&P 500 and Nasdaq down more than 2% as Big Tech drove the selloff. Retail favorites, high beta and momentum factors underperformed, while precious metals and energy were relative havens. Asian markets were mostly lower overnight, though Greater China and South Korea […]

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ETFsector.com Daily Trading Outlook

January 20, 2026 S&P futures −1.6% Tuesday morning, with Mag 7 under pressure, following a week where three of four major U.S. indexes fell. Beneath the surface, breadth held up: the equal-weight S&P +0.7% and Russell 2000 +2%+ last week. Rates moved higher with a bear steepener (long-end +7–10 bp). USD −0.9%, gold +3.1%, silver

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ETFsector.com Daily Trading Outlook

December 10, 2025 S&P futures are down 0.1% in Wednesday morning trading after a mixed Tuesday session in which money-center banks, pharma, aerospace, builders, and biotech lagged, while most-shorted stocks, retail favorites, private equity, chemicals, networking, and airlines outperformed. Asian markets were mixed in a quiet overnight session, while Europe is modestly lower (~0.2%). Treasuries

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ETFsector.com Daily Trading Outlook

July 23, 2025 S&P futures up 0.4% in Wednesday morning trading, following a strong Tuesday session where U.S. equities rallied on rotation into value, with equal-weight S&P outperforming by 120 bp. Memes, homebuilders, healthcare, and chemicals led gains, while autos, AI, tobacco, and aerospace lagged. Asian markets rallied, led by Japan (+3.5%), and Europe is

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ETFsector.com Daily Trading Outlook

July 9, 2025 S&P futures are up 0.1% after a mixed session Tuesday, where small caps, value, and unprofitable tech outperformed, while money center banks lagged amid early earnings previews. Treasuries are little changed, the dollar index is up 0.1%, gold is down 0.4%, Bitcoin futures are up 0.2%, and WTI crude is up 0.5%.

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ETFsector.com Weekly Performance Summary

April 18, 2025 The Energy and Real estate sector had a strong week, both up over 5%. The S&P500 Index had a positive showing last week +0.28% yet is still down over 10% YTD. The three sectors in the red this week were Communications, Technology and Consumer Discretionary. Consumer Staples and Utilities are both positive

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ETFsector.com Daily Trading Outlook, November 20, 2024

S&P futures are up 0.1% in Wednesday morning trading after U.S. equities finished mostly higher on Tuesday, driven by strength in big tech, particularly NVIDIA (NVDA-US) ahead of its earnings today. Aerospace and defense, precious metals, and select household products outperformed, while home-improvement retailers, tax prep, banks, machinery, and apparel lagged. Treasuries weakened across the

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