U.S. markets suffered their second worst week of the year despite Friday's slight rebound that ended a three-session slide. The technical damage to the major indexes hit the small-caps the hardest with the Russell 2000 breaching its 200-day moving average before holding this level into the closing bell. Meanwhile, the S&P 500 and Nasdaq failed to recover their 50-day moving averages following Thursday's close below these levels. Sectors were mixed for the week with Energy,
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