Live Trump's steep tariffs are rocking markets and reshaping alliances. Follow the latest updates. NYSEArca - Nasdaq Real Time Price • USD ProShares UltraPro Dow30 (UDOW) Follow 81.66 -7.40 (-8.31%) As of 12:48:46 PM EDT. Market Open. Related ETF News Direxion Names ex-RayJay Exec as New Chief Product Officer Mo Sparks, who had worked at Vanguard, joins following CEO Yones’s November appointment. CVS leads S&P 500 in Q1, Deckers & Tesla are biggest losers On the final day of the first quarter of 2025, Madison Mills and Julie Hyman take a look at the best and worst-performing stocks and sectors of the year so far. Among the worst performers are Deckers (DECK) and Tesla (TSLA), while CVS Health (CVS) led gains.To watch more expert insights and analysis on the latest market action, check out more Morning Brief here. Gold Mining ETF (GOEX) Hits New 52-Week High This gold mining ETF hits a new 52-week high. Are more gains in store for this ETF? 3 of Goldman Sachs' best investing tips for currently volatile markets Volatile times in markets require precision, Goldman Sachs reminds investors. Turkish Stocks and Lira Tumble After Istanbul Mayor Detained Turkish assets fell sharply Wednesday, after police detained Istanbul mayor Ekrem Imamoglu, a rival of President Recep Tayyip Erdogan. The lira weakened more than 3% against the dollar. It was on pace to settle at a new record low, according to Dow Jones Market Data. European stocks emerging as top theme as traders search outside US European stocks (^STOXX50E, ^GDAXI, ^FTSE, ^FCHI) are emerging as a top trading theme in 2025. StoneX chief market strategist Kathryn Rooney Vera sits down with Madison Mills and Bullseye American Ingenuity Fund portfolio manager Adam Johnson to speak more on investment opportunities outside of the US and which sectors are best equipped to withstand an economic slowdown. To watch more expert insights and analysis on the latest market action, check out more Catalysts here. Trade war prompts OECD to slash U.S. and global economic forecasts Investing.com -- The OECD has lowered its global and U.S. economic growth forecasts, citing "higher trade barriers in several G20 economies and increased geopolitical and policy uncertainty" as key risks to investment and consumer spending. U.S. producer price growth cools in February Investing.com - U.S. producer prices rose at a slower-than-anticipated annualized rate in February, while the measure was unexpectedly unchanged month-on-month, according to data that will likely factor in to how the Federal Reserve views inflation during a time of increased uncertainty around President Donald Trump's trade policy. Stock ETFs Waver as Investors Weigh CPI Data, Tariffs Markets rebounded Wednesday on softer inflation data but investors remain on edge as President Trump’s trade war threatens growth. ETFs: There's room to run in the Europe trade amid tech setbacks Amid market uncertainty in the US equity market (^DJI, ^IXIC, ^GSPC), investors are increasingly shifting billions into European ETFs (HEZU) driven by the underperformance of tech (XLK) and potential policy changes under President Trump. Strategas Securities ETF and technical strategist Todd Sohn joins Catalysts host Madison Mills to discuss how recent ETF flows indicate investor sentiment, including the growing interest in European markets and the outlook for sectors like defense and healthcare (XLV). To watch more expert insights and analysis on the latest market action, check out more Catalysts here. Piper Sandler predicts government shutdown likely to be averted Investing.com -- Piper Sandler analysts believe a U.S. government shutdown is unlikely as momentum builds for a temporary funding measure that would keep operations running through September 30, 2025. Stock market sell-off: Why these stocks are in the green amid the pain The shift to defense is on. BCA downgrades equities to underweight as US is heading towards recession Investing.com -- BCA Research downgraded equities to underweight in a note Monday, warning that the U.S. economy is likely to slide into recession due to policy uncertainty and weakening consumer sentiment. Is the U.S. economy headed for recession? Investing.com -- Despite its forecasted 1.9% annualized contraction in first-quarter GDP, Capital Economics does not expect the U.S. economy to enter a full-blown recession, anticipating a rebound in the second quarter. Strategist explains why there's a 'good setup' for healthcare stocks Healthcare stocks may see an upswing, one strategist said, especially if tech falters. What Trump's next batch of tariffs could mean for pharma industry The Trump administration has hinted at new tariffs that could impose a 25% tax on all pharmaceutical imports. Yahoo Finance senior health reporter Anjalee Khemlani joins the Morning Brief team in assessing how these policies could hit top companies. To watch more expert insights and analysis on the latest market action, check out more Morning Brief here. This post was written by Luke Carberry Mogan. DIA Attracts $263M as Dow Tumbles 650 Points The Direxion Daily S&P 500 Bull 3x Shares (SPXL) has $384.6 million in outflows: Here are the daily ETF fund flows for March 4, 2025. How investors can prepare for a fluctuating market in 2025 The stock market (^GSPC, ^IXIC, ^DJI) is expected to experience fluctuations throughout this year due to various economic factors. Dakota Wealth Management senior portfolio manager Robert Pavlik joins Wealth host Brad Smith to discuss how the market landscape may differ from last year. "What worked all last year probably won't work all this year; you're not going to have all these big Mag Seven type of rallies that are going to carry the overall market," Pavlik says. He emphasizes the importance of carefully selecting quality companies that align with one's personal risk tolerance. "If you have a high degree of risk, then maybe an Applovin (APP), a Palantir (PLTR), [or] a Snowflake (SNOW) matches into your portfolio," Pavlik explains. "But if you're like the rest of us ... you're probably looking at names that I've suggested in the past, like Costco (COST) ... or Alphabet (GOOG, GOOGL)." Pavlik also touches on the "barbell approach" in investing, suggesting that while tech stocks like Apple (AAPL) can be included, focusing on steady performers in sectors like healthcare (XLV) and consumer discretionary (XLP) is key. To watch more expert insights and analysis on the latest market action, check out more Wealth here. This post was written by Josh Lynch Healthcare sector leading markets in 2025: What to know Investors have been turning to the healthcare sector (XLV) as they search for safe haven investments amid recent market turbulence. Market Domination anchor Julie Hyman details how the industry has been outperforming the broader market (^DJI, ^IXIC, ^GSPC), noting some of the standouts in the sector. To watch more expert insights and analysis on the latest market action, check out more Market Domination here. This post was written by Luke Carberry Mogan. TIPS ETF (STIP) Hits New 52-Week High This TIPS ETF hits a new 52-week high. Are more gains in store for this ETF? Performance Overview Trailing returns as of 4/2/2025. Category is Trading--Leveraged Equity. Return UDOW Category YTD -5.48% -- 1-Year +11.07% -- 3-Year +7.88% --