In this episode of StockCharts TV’s Sector Spotlight, I address the recent drop in the US dollar and its effect on the US stock market. The asset class segment is then followed by a look at current sector rotation and the increasing number of stocks in the S&P that is picking up strength, causing market participation to broaden. I wrap up the show with an RRG analysis of High BETA vs. Low Vol stocks, which is sending a risk-ON message.
New episodes of Sector Spotlight premiere weekly on Mondays. Past episodes can be found here.