The S&P 500 showed stabilization on Wednesday following a three-day decline, with oil prices pausing their recent sharp increase.
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ADP reported U.S.
Treasury yields rose as a global bond sell-off intensified, driven by inflation concerns that increased borrowing costs.
The consumer staples sector has underperformed the S&P 500 over the past six months, with a 5.4% loss compared to the S&P 500's 6.2% gain.
These consumer defensive ETFs share many similarities, but a couple of key differentiators set them apart.
The article compares State Street and iShares consumer staples ETFs, focusing on sector focus, portfolio concentration, and diversification strategies for defensive investors.
The Consumer Staples Select Sector SPDR Fund (NYSEARCA:XLP) is the default ticker investors reach for when they want a slice …
The consumer staples sector has underperformed the S&P 500 over the past six months, with a 2.4% decline compared to a 6.2% gain for the broader index.
Dividend yield and portfolio concentration set these two funds apart for investors.
Compare fund strategies, sector exposures, and top holdings to see how these consumer-focused ETFs stack up for defensive investors.
Goldman Sachs notes strong corporate earnings and resilient consumer spending in the US, but warns of potential slowing household demand and rising cost pressures later this year.
The Dow Jones index rose slightly despite higher oil prices and geopolitical concerns, driven by strength in AI and chip stocks.
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