S&P 500 is due for a 10% correction. But the fact it held key levels despite a software meltdown and tech weakness is impressive. What if pullback already "happened" but was offset by strength spreading across the broader market?
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S&P 500 is due for a 10% correction. But the fact it held key levels despite a software meltdown and tech weakness is impressive. What if pullback already "happened" but was offset by strength spreading across the broader market?