CSTNL - The 1-Minute Market Report May 18, 2025
2025-05-18 05:03:44 ET
Summary
- The market staged a strong 4-week rally as tariff worries eased, with investors rotating out of safe havens into risk assets like stocks.
- Tech and Consumer Discretionary sectors led gains, fueled by money flowing out of Healthcare, Real Estate, and defensive stocks.
- High Beta and Growth stocks outperformed, while Value, Low Volatility, and non-U.S. equities lagged behind in the recent rebound.
- Sustained rally depends on trade negotiation progress, especially with China, as their global deals could reduce U.S. leverage.
It’s been a dazzling rally for the past four weeks as investors have pulled back from tariff worries and see a chance for favorable trade deals with China and other countries....
The 1-Minute Market Report May 18, 2025