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ETFsector.com Daily Trading Outlook

November 5, 2025 S&P futures -0.4% in Wednesday morning trading after Tuesday’s sharp selloff, the largest one-day decline since October 10. Pressure remained centered in Big Tech, unprofitable tech, retail favorites, most-shorted names, crypto, and cruise lines. Overseas markets are mostly weaker: South Korea -3%, Japan -2.5%, and Europe -0.7%. Treasuries were steady across the […]

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ETFsector.com Daily Trading Outlook

October 30, 2025 S&P futures down 0.1% in Thursday morning trading, following a mixed Wednesday session in which the S&P 500 finished flat but breadth remained weak, with roughly 75% of index constituents lower. The Nasdaq outperformed, driven by renewed strength in NVDA. Asian markets were mostly lower overnight, with China lagging, while Europe opened

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ETFsector.com Daily Trading Outlook

October 7, 2025 S&P futures flat in early Tuesday trading after U.S. equities finished mostly higher on Monday, extending the S&P 500’s winning streak to seven sessions. Leadership came from AI, semiconductors, technology, crypto, meme stocks, transports, aerospace & defense, China ADRs, and agricultural chemicals, while builders, staples, restaurants, and telecom lagged. Asian markets were

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ETFsector.com Daily Trading Outlook

October 6, 2025 S&P futures +0.3% after U.S. equities ended mixed on Friday, though the S&P 500 extended its winning streak to six sessions and all major indexes posted weekly gains of over 1%. Outperformers included pharma, semiconductors, China tech, utilities, builders, rails, and machinery, while big tech was mixed — NVDA stood out with

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ETFsector.com Daily Trading Outlook

September 26, 2025 S&P futures a touch higher Friday morning after U.S. equities fell Thursday, with the S&P and Nasdaq down for a third straight session. Big tech, most-shorted, and tariff-exposed names led the pullback, while energy and select defensives outperformed. Asia closed mostly lower (South Korea, Taiwan, Hong Kong laggards), while Europe opened modestly

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ETFsector.com Daily Trading Outlook

September 12, 2025 S&P futures down 0.1% in quiet Friday premarket after Thursday’s gains pushed the S&P and Nasdaq to fresh ATHs. Week shaping up for moderate index gains. European markets softer, Asia mixed. Treasuries steady to weaker at the short end after a big flattening move this week. Dollar +0.2%, gold +0.2%, Bitcoin +0.4%,

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ETFsector.com Daily Trading Outlook

September 11, 2025 S&P futures +0.1%.  U.S. equities were mixed Wednesday with the S&P and Nasdaq closing at fresh record highs, though breadth was weak (nearly 60% of the S&P declined). Tech dominated focus: ORCL, NVDA, and AVGO rallied, while AAPL and AMZN slipped. Asia traded mixed overnight—Mainland China, Japan, Korea, and Taiwan gained on

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ETFsector.com Daily Trading Outlook

September 3, 2025 S&P 500 futures are up 0.4% after Tuesday’s pullback, with tech (especially semis), capital goods, financials, transports, and chemicals lagging yesterday while retail, biotech/pharma, managed care, and precious metals miners outperformed. Treasuries remain weaker, with yields up ~2 bp and the 30Y just under 5%. Dollar index -0.1%, gold +0.4%, Bitcoin -0.2%,

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ETFsector.com Daily Trading Outlook

August 25, 2025 S&P futures –0.3% Monday AM after Friday’s sharp rebound, which snapped a five-day S&P losing streak with all major indexes up >1.5% and small caps leading. Cyclicals, housing, meme/short baskets, regional banks, and Bitcoin-linked stocks outperformed. Asia mostly higher (Hang Seng +2%, Shanghai +1.5%), while Europe trades ~0.5% lower (UK closed). Treasuries

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ETFsector.com Daily Trading Outlook

August 22, 2025 S&P futures up 0.2% Friday, after the S&P 500 fell for a fifth straight session Thursday, its longest losing streak since January. Mag 7 also extended losses. Asia traded mixed with strength in Greater China, while Australia and India lagged. Europe up ~0.3%. Treasuries slightly weaker with yields up ~1 bp, dollar

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