Fresh news and strategies for traders. SPY Trader episode #1427.
This week saw dramatic market volatility driven by "data fog" following the government shutdown and sharply fading expectations for a Fed rate cut, pushing the 10year Treasury yield to 4.15%. Highvaluation tech stocks bore the brunt of the pain, sparking a significant rotation into defensive sectors. We discuss tactical strategies, including increasing fixed income exposure and targeted buying in quality growth names.