The purpose of this weekly publication is to inform potential mom and pop equity/stock investors of sector performance vs the S&P 500 of the immediate week ended in the US markets.
In particular the "Beta/Sensitivity to S&P 500" indicator could potentially serve as useful tool to diversify your portfolio across sectors so that your investments don't move all in the same direction and at the same time!
Please FOLLOW / UPVOTE / RESTEEM if you find this publication useful :)
Also welcome and comments and/or questions for discussions.