Fund Managers Staying in Financials; Opportunity in Tech?
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S&P 500 Financial Index vs. S&P 500
No Capitulation in Financials I imputed the average financial sector exposure of 22 US large cap
blend equity mutual funds. These 22 funds can be thought of as a
composite of the S&P 500-like mandate funds from the largest mutual
fund complexes. As you can see from the chart, mutual funds have been
overweight the sector and appear to be increasing their weight.
The
above chart shows the relative performance of the S&P 500
Financials vs. the S&P 500. Given the well-publicized subprime
problems, the sector is not surprisingly oversold.
Large
cap blend mutual fund managers, as a group, are finding value in
Financials and there is no sign of panic over the subprime meltdown in
their behavior.
Tech looks constructive
By
contrast, this chart shows that the relative returns of the S&P 500
Technology Index vs. the S&P 500. The Tech sector rebounded in the
Summer of 2006 and has been in a relative uptrend since the the Summer
of 2007. The sector has pulled back but the relative uptrend remains
intact.
The
same mutual fund analysis shows that the average US large cap equity
blend mutual fund is roughly market weight the sector. From a sentiment
analysis viewpoint, this gives the Tech sector room to resume its
leadership trend that it began a few months ago.
click on the above charts for a sharper view
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