The S&P 500 seemingly climbed back up this week, but closed 2% lower than last Friday. The index is down 1.5% YTD and is 7.5% below its record close. The U.S. Treasury puts the closing yield on the 10-year note
April 13, 2018
With an input value of 1 day, the rate-of-change indicator shows which of the following 9 Major Sectors gained/lost the most in today’s action (2-month and 1-year daily charts below). In this regard and in particular, watch for any continued strength in XLE (Energy) and any continued weakness in XLF (Financials)