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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

April 22, 2025 S&P futures are up 0.9% in early Tuesday trading, rebounding from Monday’s broad selloff that saw the S&P 500 fall for the third time in four sessions and the Nasdaq drop for a fourth straight day. Over 90% of S&P 500 constituents closed lower on Monday amid thin liquidity. Asian markets finished

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ETFsector.com Daily Trading Outlook

April 16, 2025 S&P futures are down 0.5% in early Wednesday trading, though off the lows. This follows a mostly lower U.S. session Tuesday, with weakness across chemicals, food/beverage, apparel, and logistics. Banks, semis, and defensives held up better. Treasuries are firmer with curve steepening, the dollar index is down 0.6%, gold is up 2.5%,

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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 27, 2025 S&P futures +0.5% after a mixed Wednesday where S&P and Nasdaq snapped their four-day losing streaks. Semis led, staples lagged. Asian markets mixed (Japan, China higher; Hong Kong weaker), while Europe down 0.6%. Treasuries lower, though rates still down for the week. Dollar +0.2%, Gold -0.9%, Bitcoin +2.4%, WTI crude +0.9%. Key

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XLV Healthcare SPDR September Outlook—XLV registered more positive inputs in our model based on the broader outperformance at the industry level. That said we start September near benchmark weight in the XLV

We are near market weight in our XLV allocation for September.  Model inputs have improved marginally, but the sustained consolidation in equity prices that typically catalyze performance for the sector have remained elusive

XLV Healthcare SPDR September Outlook—XLV registered more positive inputs in our model based on the broader outperformance at the industry level. That said we start September near benchmark weight in the XLV Read More »

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