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ETFsector.com Daily Trading Outlook

January 16, 2026 S&P futures +0.3% Friday Morning after U.S. equities finished higher but off best levels on Thursday. Small caps, high beta, momentum, and growth led factor performance, with AI and investment banks among the bright spots. Asia mixed overnight (South Korea and Taiwan higher; Japan and China modestly lower). Europe −~0.2%. Treasuries and […]

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ETFsector.com Daily Trading Outlook

October 20, 2025 S&P futures +0.3% in Monday morning trading, extending last week’s momentum after the major U.S. indexes each gained more than 1.5%. Leadership last week came from semiconductors, credit cards, apparel, staples retailers, airlines, restaurants, machinery, chemicals, and builders, while financials lagged on renewed regional-bank credit worries. Asian markets were higher overnight, led

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ETFsector.com Daily Trading Outlook

October 17, 2025 S&P 500 futures were down 1.1% Friday morning, extending Thursday’s selloff but holding above overnight lows. Risk appetite remained weak amid renewed worries over regional-bank credit stress, fading AI trade momentum, and limited economic visibility due to the government shutdown. European markets followed Asia lower, while Treasuries were steady to stronger at

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ETFsector.com Daily Trading Outlook

July 16, 2025 U.S. equity futures are slightly lower Wednesday morning after Tuesday’s reversal, which saw the S&P 500 close down despite early strength. Small caps, banks, crypto-linked names, energy, materials, and healthcare lagged, while semis outperformed, lifting tech more than 1%. Asian markets dipped modestly overnight; Europe is down ~0.4%. Treasuries are steady to

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ETFsector.com Daily Trading Outlook

March 4, 2025 S&P futures -0.1% after Monday’s sharp selloff, where the S&P 500 fell over 1.5%, marking its worst day of the year. Nvidia (NVDA) led the Mag 7 downturn, while cyclicals underperformed defensives by 450 bp. Treasuries mixed, dollar -0.4%, gold +0.8%, Bitcoin -2.4%, WTI crude -0.9% after Monday’s 2% drop on OPEC+

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ETFsector.com Daily Trading Outlook, January 21, 2025

S&P futures up 0.5% Tuesday morning, continuing last week’s rally. Breadth remains a highlight with the equal-weight S&P outperforming by ~100 bp. Standout sectors include banks, builders, credit cards, commodity equities, and machinery. Asian markets mostly higher overnight, led by Hong Kong (+1%), while European markets are flat. Treasuries firmer with a bull flattening curve.

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