By Kristoff De Turck - reviewed by Aldwin Keppens
Last update: Feb 24, 2025
The Nasdaq dropped 1.2% due to concerns about overcapacity in AI data centers after reports surfaced that Microsoft had canceled data center lease contracts. This also negatively impacted other tech companies like Amazon (-1.8%), Nvidia (-3%), Super Micro Computer (-8%), and Micron Technology (-3.5%). Additionally, Business Insider reported that hedge funds have the lowest exposure to the Magnificent Seven (including Microsoft, Nvidia, and Tesla) since April 2023.
Meanwhile, the Dow Jones edged up slightly by 0.1%. Berkshire Hathaway (+4.1%) reached a record high following strong annual earnings and an increased cash position of $334 billion.
Nike (+5%) benefited from a buy rating by Jefferies analyst Randal Konik, who raised the price target from $75 to $115. He believes in CEO Elliott Hill’s strategy to restore partnerships with retailers and sees potential in the collaboration with Skims, Kim Kardashian’s fashion brand. According to Konik, Nike’s brand strength remains solid, and competitive risks are limited.
S&P 500 (SPY): Closed at 597.21 (-0.46%)
The index is facing short-term weakness but remains strong in the long-term trend.
NASDAQ 100 (QQQ): Closed at 519.87 (-1.2%)
Tech-heavy index underperformed the broader market, suggesting significant selling pressure.
Russell 2000 (IWM): Closed at 216.23 (-0.72%)
Small caps continued to underperform, indicating a risk-off sentiment.
Worst Performing Sectors (1 Week):
Tech sector experienced significant weakness, contributing to the NASDAQ decline.
Best Performing Sectors (1 Week):
Defensive sectors outperformed, signaling a cautious market.
Worst Performing Sectors (3 Months):
Rotation out of cyclical sectors is evident.
Best Performing Sectors (3 Months):
Previous days showed weak breadth, confirming market-wide selling pressure.
Short-term moving averages indicate market is struggling to find support.
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