How to stay out of big tech, but in stocks, if S&P 500 loss of momentum isn't ending
1. Tech sector recovery is uncertain; cautious managers adjust their strategies. 2. Fairlead's TACK ETF reduces tech exposure, predicting a prolonged bear cycle. 3. Stockton emphasizes reallocating portfolios for market fluctuations and momentum. 4. Active ETFs attract interest, surpassing static index funds this year. 5. Tactical strategies are emerging in both equity and bond markets.