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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 9, 2025  U.S. equities are up slightly after Monday’s modest gains, led by semis, software, Mag 7, China tech, asset managers, and retail, while defensives (utilities, pharma/biotech, food/beverage) and cyclicals (energy, steel, transport, insurers) lagged. Treasuries are weaker with curve steepening (yields +1–3 bp). Dollar -0.2% as yen rallies on hawkish BoJ. Gold +0.4%,

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ETFsector.com Daily Trading Outlook

April 29, 2025 S&P Futures are up 0.2% in early trading following a choppy but positive Monday session. The S&P 500 notched its fifth straight daily gain — its longest winning streak of the year — despite an earlier intraday decline of around 1%. Asian markets mostly advanced overnight, led by Australia, South Korea, and

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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 13, 2025 S&P 500 futures are flat, recovering from overnight lows, after U.S. equities finished mostly higher Wednesday. Tech and cyclicals outperformed, though broad market breadth was weak, with two-thirds of S&P 500 stocks closing lower. Treasuries were slightly weaker at the long end, while the dollar was little changed. Gold rose 0.2%, Bitcoin

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ETFsector.com Daily Trading Outlook

February 25, 2025 S&P futures are down 0.1% after U.S. equities finished mostly lower on Monday, with tech leading declines (-1%) and the Mag 7 hitting its lowest level since December. AI capex stocks, China ADRs, EVs, builders, machinery, rails, and trucking were among the weakest areas, while healthcare, insurance, and travel/leisure outperformed. Despite the

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ETFsector.com Daily Trading Outlook, September 10, 2024

US equities closed higher on Monday, with the Dow rising 1.20%, the S&P 500 up 1.16%, and the Nasdaq gaining 1.16%. The Russell 2000 trailed with a 0.30% increase. This rebound came after a difficult week, where the S&P 500 suffered its worst performance since March and the Nasdaq saw its steepest drop since January.

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