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ETFsector.com Daily Trading Outlook

October 8, 2025 S&P futures +0.1% following Tuesday’s pullback, when the S&P 500 snapped a seven-day winning streak. Oracle (ORCL) weighed on AI sentiment, while autos, builders, travel & leisure, and retail also lagged. Overseas: Asian markets were mostly weaker, with Hong Kong and Japan down ~0.5%, while Europe traded modestly higher (~0.3%). Treasuries were […]

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ETFsector.com Daily Trading Outlook

September 30, 2025 S&P futures down 0.2% Tuesday after U.S. equities gained Monday, led by crypto, biotech, China ADRs, Mag 7, rails, IBs, builders, and airlines, while energy, cruise lines, regional banks, and apparel lagged. Asia mostly higher overnight with Taiwan a standout; Europe narrowly mixed. Treasuries firmer with curve steepening; dollar off 0.1%, gold

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ETFsector.com Daily Trading Outlook

July 21, 2025 S&P futures are up 0.3% to start the week, extending last week’s gains that saw the S&P 500 and Nasdaq close at record highs on Thursday. Big tech continues to lead, with Tesla (TSLA) and Nvidia (NVDA) among the standouts. Asian markets traded mostly higher overnight, led by Greater China; Japan was

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ETFsector.com Daily Trading Outlook

July 18, 2025 Futures are slightly higher, extending Thursday’s rally that saw the S&P 500 and Nasdaq close at record highs. Big tech led, along with strength in beverages, software, semis, and machinery. European and Asian markets are broadly higher. Treasuries are firmer with slight curve flattening. The dollar is down 0.4%, gold up 0.4%,

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ETFsector.com Daily Trading Outlook

July 17, 2025 S&P Futures are trading up 0.1% after Wednesday’s gains, with strength in pharma, insurers, asset managers, airlines, and homebuilders. Retail favorites and most-shorted names also outperformed. European markets are broadly higher after a solid session in Asia. Treasuries are weaker with long-end yields up ~2 bps. The dollar is up 0.3%, gold

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ETFsector.com Daily Trading Outlook

April 22, 2025 S&P futures are up 0.9% in early Tuesday trading, rebounding from Monday’s broad selloff that saw the S&P 500 fall for the third time in four sessions and the Nasdaq drop for a fourth straight day. Over 90% of S&P 500 constituents closed lower on Monday amid thin liquidity. Asian markets finished

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ETFsector.com Daily Trading Outlook

April 16, 2025 S&P futures are down 0.5% in early Wednesday trading, though off the lows. This follows a mostly lower U.S. session Tuesday, with weakness across chemicals, food/beverage, apparel, and logistics. Banks, semis, and defensives held up better. Treasuries are firmer with curve steepening, the dollar index is down 0.6%, gold is up 2.5%,

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ETFsector.com Daily Trading Outlook

April 15, 2025 S&P futures are modestly higher in early Tuesday trading following a quiet Monday session where U.S. equities finished higher, marking the S&P 500’s first consecutive gains since the early April tariff shock. Defensive sectors led, while Asia and Europe both saw broad gains overnight. Treasuries are narrowly mixed after Monday’s rally, the

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ETFsector.com Daily Trading Outlook

March 27, 2025 S&P futures down 0.1% in early Thursday trading, following a broad market decline Wednesday where the S&P, Nasdaq, and Russell 2000 all fell over 1%. Mag 7 stocks pulled back after a recent run, while cyclicals, AI data center names, and high short interest stocks also underperformed. Defensive sectors held up better,

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ETFsector.com Daily Trading Outlook

March 18, 2025 S&P futures down 0.4% in Tuesday premarket trading, near session lows. Follows Monday’s second straight gain, the S&P’s first two-day win streak since Feb. 19, with equal-weight S&P and cyclicals outperforming while Mag 7 lagged. Asian markets extended gains for a third session, with Hong Kong (+2.5%) and Japan (+1%) leading. European

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