C, S, and to some extent I funds all pretty much correlate their movements. S tends to be more volatile, but something happened on May 31 that had S drop but C and I climb. Then on June 12, something happened and the I fund dropped while C continued to climb.
I think I saw that there was good news on inflation and interest rates that last Friday in May; and something similar on June 12 - and I would expect C to benefit from that news, but why not S? And what’s the deal with I? What happened that was only joy for C and shade for S and I?
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