U.S. Equity Market Captialization performance
Always want to analyze how equity markets are reacting/performing relative to each other in times of market stress.
First chart is performance for the past year followed by a one month chart of SPY (Large Cap), MDY (Mid Cap), and IWM (Small Cap).


More risk = more reward/loss.
The one year chart makes want to know how bad is the economy when small and mid cap indexes are on the negative side of large caps in relative one year performances?
First chart is performance for the past year followed by a one month chart of SPY (Large Cap), MDY (Mid Cap), and IWM (Small Cap).


More risk = more reward/loss.
The one year chart makes want to know how bad is the economy when small and mid cap indexes are on the negative side of large caps in relative one year performances?

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