S&P 500 and Dow Jones are higher, while NASDAQ is slightly lower, indicating a mixed market tone.
Financials, Healthcare, and Real Estate are outperforming, suggesting a shift towards sectors with relatively stable growth prospects.
The 10Y Yield is down, and the VIX is lower, indicating reduced market volatility and decreased risk aversion.
GOOGL, JPM, and NVDA are leading gainers, while ETH-USD and BTC-USD are declining, reflecting varied sentiment across tech and crypto assets.
Monitoring the performance of Communications and Industrials sectors, as well as the price action of META, given its relatively strong move today.