S&P 500 and NASDAQ are higher, with the latter outperforming at +1.30%, while the VIX has declined by 6.16% to 15.84.
Tech is the top-performing sector at +2.05%, with Consumer Disc. and Industrials also showing strength, while Energy and Consumer Staples lag.
The 10Y Yield has decreased by 0.66% to 4.54, and the US Dollar Index is relatively flat at +0.01% to 100.79.
META leads the charge with a 4.64% gain, followed by TSLA at +3.19%, and notable increases in AMZN and JPM.
Monitoring the continued outperformance of growth stocks, particularly in the Tech sector, and the potential impact of declining yields on sector rotation and market sentiment.