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ETFsector.com Daily Trading Outlook

July 31, 2025 S&P futures up 1.0% in early Thursday trading, bouncing after Wednesday’s broad-based selloff that saw ~70% of the S&P 500 close lower. Laggards included energy, copper, logistics, packaging, builders, and HPCs. Outperformers were healthcare, semicap equipment, cruise lines, casual diners, casinos, tobacco, and apparel. Asian markets mostly fell with China and Hong […]

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ETFsector.com Daily Trading Outlook

July 30, 2025 S&P futures are up 0.1% in early trading after U.S. equities declined Tuesday, snapping a six-day winning streak for the S&P and Nasdaq. Cyclicals and high-beta names like retail favorites and meme stocks underperformed, while defensives and momentum stocks held up better. Industrials and healthcare led sector laggards. Treasuries held steady overnight

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ETFsector.com Daily Trading Outlook

July 28, 2025 S&P futures up 0.3% in Monday morning trading following a strong week for U.S. equities, with the S&P 500 hitting all-time highs in all five sessions and the S&P, Dow, and Nasdaq each gaining over 1%. Big tech and retail favorites led. Asia was mixed overnight (Japan −1%, Hong Kong outperformed), while

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ETFsector.com Daily Trading Outlook

July 22, 2025 S&P futures down 0.1% in Tuesday morning trading after a mixed, uneventful Monday where major indexes faded late but still closed at record highs. Telecom, industrial metals, and Mag 7 tech names outperformed; machinery, energy, pharma, builders, and small caps lagged. Asian markets were mixed with Hong Kong higher, while South Korea

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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

June 17, 2025 S&P futures are down 0.6% Tuesday morning after U.S. equities closed higher Monday, led by gains in momentum stocks, semis, travel & leisure, and media. Asian markets were mixed overnight, while Europe is trading lower, down over 1%. Treasuries are firmer with yields 2–3 bp lower. The dollar is up 0.2%, gold

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ETFsector.com Daily Trading Outlook

May 7, 2025 S&P futures up 0.6%, rebounding after two down sessions. Tuesday saw biotech lag while utilities and energy outperformed. Overnight, Asian markets mostly gained, led by Shanghai, KOSPI, and ASX200; Nikkei closed lower. European markets opened ~0.3% lower. Treasuries were mostly weaker with curve flattening. The dollar index rose 0.2%, gold fell 1.1%,

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ETFsector.com Daily Trading Outlook

March 19, 2025 S&P futures up 0.1% Wednesday morning after Tuesday’s pullback, which ended a brief two-day bounce. Big tech underperformed, with all Mag 7 stocks now down YTD and the group off more than 16%. Asian and European markets mixed. Treasuries steady, dollar up 0.4%, gold down 0.2%, and Bitcoin up 2.0%. WTI crude

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