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The Nasdaq is down 7 (0.3%) to 2658, the Dow is down 23 (0.2%) to 11551 and the S&P 500 is down 1 (0.1%) to 1256. Action has come on well below average volume (NYSE 183 mln vs avg of 421 mln; NASDAQ 517 mln vs. avg. of 893 mln), with relatively even advancers/decliners (NYSE advancers/decliners 1427/1440, NASDAQ advancers/decliners 1212/1338) and with new highs outpacing new lows (NYSE new highs/new lows 64/9 and NASDAQ new highs/new lows 89/7).
ETF relative strength:
Volatility-VXX +2.6%, Palladium-PALL +1.5%, Singapore-EWS +1.2%, Base Metals-DBB +0.9%, REITs-IYR +0.8%, Home Construction-ITB +0.8%
ETF relative weakness:
Cotton-BAL -3.5%, Water-CGW -2.5%, Solar-TAN -1.9%, Spain-EWP -1.9%, Natural Gas-UNG -1.6%, Oil Services-OIH -1.4%, Gold Miners-GDX -1.3%, Chile-ECH -1.3%, Steel-SLX -1.0%, Latin America-ILF -1.1%, France-EWQ -1.1%, Germany-EWG -1.0%, Coal-KOL -0.9%

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Tags: Internals, Market, Notes, SMF

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