I've been tracking these 10 group setups for resilience/contraction while volatility settles, with possible exposure post-NFP later. I've included each of their top 5 ETF holdings.
$The Magnificent Seven ETF(MAGS)$ MAG7 - $Meta Platforms, Inc.(META)$ $Amazon.com(AMZN)$ $Alphabet(GOOG)$ $Alphabet(GOOGL)$ $Microsoft(MSFT)$ $Apple(AAPL)$
$iShares Expanded Tech-Software Sector ETF(IGV)$ Software - $Oracle(ORCL)$ $Salesforce.com(CRM)$ $Microsoft(MSFT)$ $ServiceNow(NOW)$ $Adobe(ADBE)$
$iShares U.S. Aerospace & Defense ETF(ITA)$ Aerospace & Defense - $GE Aerospace(GE)$ $RTX Corp(RTX)$ $Howmet Aerospace Inc.(HWM)$ $TransDigm(TDG)$
$SPDR S&P Insurance ETF(KIE)$ Insurance - $Brighthouse Financial Inc(BHF)$ $Oscar Health, Inc.(OSCR)$ $Globe Life Inc.(GL)$ $Reinsurance Group of America(RGA)$ $MetLife(MET)$
$Schwab U.S. Large-Cap Growth ETF(SCHG)$ Large Cap Growth - $Apple(AAPL)$ $Microsoft(MSFT)$ $NVIDIA(NVDA)$ $Amazon.com(AMZN)$ $Meta Platforms, Inc.(META)$
$Industrial Select Sector SPDR Fund(XLI)$ Industrial - $GE Aerospace(GE)$ $Caterpillar(CAT)$ $RTX Corp(RTX)$ $Union Pacific(UNP)$ $Honeywell(HON)$
$Consumer Discretionary Select Sector SPDR Fund(XLY)$ CD - $Amazon.com(AMZN)$ $Tesla Motors(TSLA)$ $Home Depot(HD)$ $McDonald's(MCD)$ $Booking Holdings(BKNG)$
$Materials Select Sector SPDR Fund(XLB)$ Materials - $Linde PLC(LIN)$ $Sherwin-Williams(SHW)$ $Air Products & Chemicals(APD)$ $Ecolab(ECL)$ $Freeport-McMoRan(FCX)$
$Utilities Select Sector SPDR Fund(XLU)$ Utilities - $NextEra(NEE)$ $Constellation Energy Corp(CEG)$ $Southern(SO)$ $Duke(DUK)$ $Vistra Energy Corp.(VST)$
$Schwab U.S. Large-Cap Value ETF(SCHV)$ Large Cap Value - $Berkshire Hathaway(BRK.B)$ $JPMorgan Chase(JPM)$ $Exxon Mobil(XOM)$ $Wal-Mart(WMT)$ $Home Depot(HD)$
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