Skip to main content

USA turu kommentaar

SPY
S&P 500's weekly market breakdown and sector performance

- The S&P 500 closed positive on the week, and investors pumped $74.7b
in net purchases of fund assets into the market. This is a considerable
amount in that it was the most significant inflow since April 29th, 2020.
- Oil finished the week at $60.88 per barrel and had a rollercoaster
week declining and rising around the cargo ship news that has blocked the
Suez Canal. Furthermore, the U.S. 10-Year Treasury yields dropped three
basis points on the week, and investors saw market volatility levels
decline to the lowest levels since before the COVID-19 pandemic.
- SPDR S&P 500 Trust ETF (NYSEARCA:SPY) finished the week on a positive
note +1.52% and is +4.59% YTD. See below a breakdown of the eleven
sectors of the S&P 500 and their weekly performance. Additionally, see
how
the accompanying SPDR Select Sector ETF performed from the open on March
22nd to the close on March 26th.
- #1: Real Estate, +3.74% and the Real Estate Select Sector SPDR ETF
(NYSEARCA:XLRE) +4.26%.
- #2: Consumer Staples, +3.43% and the Consumer Staples Select Sector
SPDR ETF (NYSEARCA:XLP) +4.08%.
- #3: Energy, +2.50% and the Energy Select Sector SPDR ETF (NYSEARCA:XLE)
+3.13%.
- #4: Utilities, +2.44% and the Utilities Select Sector SPDR ETF
(NYSEARCA:XLU) +3.04%.
- #5: Materials, +2.02% and the Materials Select Sector SPDR ETF
(NYSEARCA:XLB) +2.76%.
- #6: Technology, +1.83% and the Technology Select Sector SPDR ETF
(NYSEARCA:XLK) +2.04%.
- #7: Industrials, +1.67% and the Industrial Select Sector SPDR ETF
(NYSEARCA:XLI) +2.03%.
- #8: Health Care, +1.62% and the Health Care Select Sect SPDR ETF
(NYSEARCA:XLV) +2.11%.
- #9: Financials, +0.43% and the Financial Select Sector SPDR ETF
(NYSEARCA:XLF) +1.63%.
- #10: Consumer Discretionary, -0.78% and the Consumer Discretionary
Select Sector SPDR ETF (NYSEARCA:XLY) -0.78%.
- #11: Communication Services, -2.31% and the Communication Services
Select Sector SPDR Fund (NYSEARCA:XLC) -4.24%.
- Below is a chart of the eleven sectors' year-to-date performance and
how they have fared against the S&P 500. See how they matched last
week's performance.


- For investors looking into the future of what's happening, take a look
at the Seeking Alpha Catalyst Watch to see next week's breakdown of
actionable events that stand out.





|Yesterday, 4:35 PM|17 Comments

Comments

Popular posts from this blog

Nasdaq Balti börsidel algas kauplemine Grenardi Groupi võlakirjadega

Nasdaq Balti börsidel algas kauplemine Grenardi Groupi võlakirjadega. See on märkimisväärne sündmus nii ettevõtte kui ka Balti kapitaliturgude jaoks. Siin on lühike kokkuvõte olulisest: Ettevõte: Grenardi Group Tegevus: Juveelipoodide kett Balti riikides Võlakirjade maht: 12 miljonit eurot Intressimäär: 10% aastas Lunastamistähtaeg: 16. aprill 2027 Investorid: Enamasti Läti investorid (85%), 12% Eestist ja 3% Leedust Noteerimine: Nasdaq Riia börsil Mõned olulised punktid: Grenardi Group on edukalt kaasanud 12 miljonit eurot kapitali avaliku võlakirjapakkumise kaudu. See on ettevõtte kolmas võlakirjaemissioon ja esimene noteerimine reguleeritud börsil. Suur investorite huvi näitab usaldust Grenardi Groupi ja Balti turu vastu. Võlakirjadest saadud raha plaanitakse kasutada ettevõtte kasvatamiseks ja Balti turul konkurentsipositsiooni tugevdamiseks. Grenardi Groupi juht Ģirts Rudzītis ütles: "Oleme avaliku pakkumise tulemustega väga rahul. Täname igaüht neist...

Storent Holding avaldas 2023. aasta auditeeritud aruanded: kasumlik aasta hoolimata ümberhindamisest

Sissejuhatus Storent Holding, mille eelmiseks ärinimeks oli Storent Holdings SIA, avaldas hiljuti oma konsolideeritud ja eraldiseisvad 2023. aasta finantsaruanded. Auditeeritud aruanded näitavad kasumlikku aastat hoolimata ümberhindamisest ja tulumaksueelses kasumis tehtud muudatustest. Aruanne annab ülevaate olulistest sündmustest ja finantstulemustest 2023. aastal ning ettevõtte väljavaadetest 2024. aastaks. Olulised punktid Kasv 2023. aastal: Storent Group saavutas märkimisväärse kasvu, investeerides 13 miljonit eurot uutesse seadmetesse ning jätkates investeeringuid IT-süsteemidesse ja protsesside automatiseerimisse. Ümberhindamisest tingitud muudatused: ettevõtte juhtkond otsustas 2023. aastal muuta püsivara amortisatsiooni arvestusmeetodit, võttes arvesse jääkväärtust. Muudatuste tulemusel kaasnes korrigeerimine tulumaksueelses kasumis. Kasumlikkus: Aasta kogukäive oli 43,8 miljonit eurot, EBITDA 13,7 miljonit eurot ja tulumaksueelne kasum 5,5 miljonit eurot. Uus võlakirja...

What's happening in the commercial real estate

Here's a breakdown of what's happening in the commercial real estate (CRE) market, focusing on office properties and using 1440 Broadway as a case study: Trends in the Office Property Market: The Rise of Remote Work: The COVID-19 pandemic accelerated the adoption of remote and hybrid work models. Many companies are downsizing or re-evaluating their office space needs. This is leading to increased vacancy rates and declining rental income for office properties. Changing Preferences: Businesses rethinking office spaces are now prioritizing flexibility, collaboration spaces, and amenities that create a compelling reason for employees to come to the office. Economic Uncertainty: Rising interest rates and potential economic downturns are making investors and lenders more cautious about commercial real estate investments, including office properties. The Case of 1440 Broadway: Loan Delinquency: The $400 million loan backing 1440 Broadway becoming delinquent highlights...