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ETFsector.com Daily Trading Outlook

March 3, 2025 S&P futures up 0.2% in Monday morning trading, following a late-session rally Friday tied to month-end pension fund rebalancing. However, stocks ended lower for the week, with big tech dragging the Nasdaq down nearly 3.5%. February also saw equities retreat despite early-month gains that pushed the S&P 500 to an all-time high […]

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ETFsector.com Daily Trading Outlook

February 28, 2025 S&P futures up 0.4% Friday morning after a sharp selloff Thursday, where the S&P 500 fell 1.59% and the Nasdaq dropped 2.78%. The Mag 7 suffered its worst pullback of 2025, extending its losing streak to six sessions. High-beta names like meme stocks, non-profitable tech, travel/leisure, and autos underperformed, while defensives, regional

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ETFsector.com Daily Trading Outlook

February 26, 2025 S&P futures +0.6%, rebounding after the S&P 500’s four-day losing streak, though the equal-weight S&P outperformed on Tuesday. Big tech, semis, EVs, and energy lagged, while staples, food & beverage, homebuilders, and REITs led. Bonds & Commodities: Treasuries weaker after Tuesday’s rally. Dollar +0.15%, gold +0.3%, Bitcoin +0.9%, WTI crude flat, copper

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ETFsector.com Daily Trading Outlook

February 18, 2025 S&P futures +0.2% Tuesday morning after a mixed but positive week for U.S. equities, led by big tech. Asian markets mostly higher, with Hong Kong extending its rally, though mainland China declined. European markets narrowly mixed. Treasuries weaker, 10-year yields above 4.50%. Dollar index +0.3%. Gold +0.8%. Bitcoin futures -0.8%. WTI crude

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ETFsector.com Daily Trading Outlook

February 14, 2025 S&P futures are down 0.2% after a strong Thursday session, with European markets mixed and Asian markets mostly higher. Treasuries are mixed with a steeper yield curve, while the dollar index is down 0.3%, marking its fourth weekly decline in five weeks. Gold is up 0.3%, Bitcoin futures are up 0.6%, and

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ETFsector.com Daily Trading Outlook

S&P futures down 0.2% Wednesday morning after a mixed session on Tuesday, where energy, chemicals, steel, banks, beverages, and China tech outperformed while medical devices, copper, asset managers, payments, hotels, airlines, cruise lines, autos, and dollar stores lagged. Asian markets were higher overnight, with Hong Kong surging over 2.5%, while European markets were up ~0.1%.

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Narrations of a Sector ETF Operator | The Consumer is the Pivot

February 10, 2025 The S&P 500 continues in a consolidation pattern that started in early December.  The index made a marginal new high on January 23rd, but the buyer couldn’t sustain above that level for longer than a day.  The move sets up a negative momentum divergence in the RSI and MACD oscillators (chart below,

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ETFsector.com Daily Trading Outlook, February 3, 2025

S&P futures are down 1.6% Monday after US equities closed lower Friday, capping a down week despite a strong January. Asian and European markets are sharply lower, with Taiwan down over 3.5% and Japan and South Korea off more than 2.5%. Treasury yields are rising on stagflation concerns, the dollar is up 1%, Bitcoin futures

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ETFsector.com Daily Trading Outlook, January 31, 2025

S&P futures up 0.4% Friday morning after US equities rallied Thursday, with over 80% of S&P 500 stocks advancing and the equal-weight S&P rising more than 1%. Stocks remain on track for a mixed weekly performance following two consecutive weeks of strong gains. Asian markets mostly higher overnight, with Japan up for a third straight

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ETFsector.com Daily Trading Outlook, January 30, 2025

S&P futures up 0.4% Thursday morning after US equities closed lower Wednesday, led by big tech weakness, particularly NVDA. Asian markets were mixed in quiet trading with several markets still closed for LNY. European markets up ~0.6%. Treasuries firmer, with 10Y yields approaching 4.50%. Dollar little changed, with yen strength notable. Gold up 0.8%. Bitcoin

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