A quick recap

1. There’s a divergence going on. falling oil is dragging down the finance and energy sectors. tech is strong because of good earnings season.
2. if oil stays at $45 or lower, the energy and finance sectors will fall more.
3. thus the S&P will make a small correction.

http://markethistory.org/u-s-stock-market-on-may-9-2017/

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