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NYSE
SPDR Portfolio Mortgage Backed Bond ETF (SPMB)
week endingFriday Sep 5, 2025 Trading Stats for the Week$US
Close
22.35
Range
22.09 - 22.39
1 week %change
+0.5%
13 week %change
+3.5%
13 week MA
22.00
40 week MA
21.83
52-week range
21.20 - 22.76
Share Volume
2,826,600
Relative Volume
27.4%
Total traded value
$63,174,510
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Stock Trends Weekly Reporter, ST Data History, ST Portfolio, premium ST Report content and premium editorial are exclusive content available only to subscribers.
- Subscribers - Please login with your email address and password:
Stock Trends Weekly Reporter, ST Data History, ST Portfolio, premium ST Report content and premium editorial are exclusive content available only to subscribers.
- Subscribers - Please login with your email address and password:
Stock Trends Weekly Reporter, ST Data History, ST Portfolio, premium ST Report content and premium editorial are exclusive content available only to subscribers.
Stock Trends Editorial
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Defensive Growth Emerges as Macro Clouds Gather
Current Stock Trends data mirrors macroeconomic headwinds captured in market headlines. This Stock Trends editorial highlights leadership in materials and utilities, assesses energy and fintech momentum, notes weaknesses in healthcare and real estate, and reviews the Stock Trends ETF Bullish Crossovers w/Momentum strategy to show how defensive growth themes play out in portfolio allocations.
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Stock Trends Inference Model: A Statistical Foundation for Smarter Investing
At the heart of Stock Trends is a conviction: market data is not noise, but information. For more than three decades, the Stock Trends framework has given investors a disciplined way to interpret market cycles, trend signals, and momentum patterns. The Stock Trends Inference Model (ST-IM) is the natural extension of this approach, embedding rigorous statistical reasoning into the reports available for every listed stock…
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Technology Sector Split: Hardware & Chips vs. Software – A Deep Dive with Stock Trends
The uncertain interest rate environment is evident in a number of sectors, and the stock market is always reflecting both the trend of the cost of capital and the anticipation of changes in it. The technology sector is especially sensitive to interest rates and generally feeds off the risk-on investor appetite supported by lower interest rates or expectations of relatively lower rates. But all technology…
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