Why is it that each time I look at the tech stocks and they’ve green, the consumer staples and boring companies are in the red? The reverse is also true. Tech goes down, consumer staples go up. It’s day to day and nearly always inversely correlated
Why is it that each time I look at the tech stocks and they’ve green, the consumer staples and boring companies are in the red? The reverse is also true. Tech goes down, consumer staples go up. It’s day to day and nearly always inversely correlated