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A little reference to sectoral rotation that can help you understand market dynamics, capitalize on market movements and gain the highest possible returns.
A mere coincidence that only defensive sectors are up or investor's really rotating their money?
Some variables to look at if you believe in intermarket analysis and correlations.
-USDINR breaking ATH coming in range and yet breaking 83 levels.
-USOIL and UKOIL breaking out
-SPGSCI breaking out.
-RUSSEL2000 down 1.4 percent in first 15 minutes of trading.
-Inverted bond yields.
