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arrow_downward Symbols arrow_downward Symbols | arrow_downward Price | arrow_downward Change | arrow_downward % Change | Trend | arrow_downward Prev Close | arrow_downward Open | arrow_downward High | arrow_downward Low | arrow_downward Volume | arrow_downward Mkt Cap | |
|---|---|---|---|---|---|---|---|---|---|---|---|
SIXC Communications | SIXC +1.30% arrow_upward | 596.66 | +7.68 arrow_upward | +1.30% arrow_upward | — | 588.98 | 588.98 | 597.07 | 588.98 | — | — |
SIXB Materials | SIXB -1.10% arrow_downward | 1,056.91 | -11.76 arrow_downward | -1.10% arrow_downward | — | 1,068.67 | 1,067.69 | 1,067.69 | 1,054.29 | — | — |
SIXU Utilities | SIXU -1.02% arrow_downward | 797.66 | -8.22 arrow_downward | -1.02% arrow_downward | — | 805.88 | 806.27 | 807.61 | 797.54 | — | — |
SIXR Staples | SIXR -0.89% arrow_downward | 827.69 | -7.41 arrow_downward | -0.89% arrow_downward | — | 835.10 | 836.83 | 841.39 | 827.69 | — | — |
SIXI Industrials | SIXI -0.71% arrow_downward | 1,704.11 | -12.21 arrow_downward | -0.71% arrow_downward | — | 1,716.32 | 1,710.74 | 1,715.73 | 1,697.79 | — | — |
US market summary
Treasury yields skyrocket to multi-decade highs amid stubborn inflation fears
The bond market faced intensified selling as the 10-year Treasury yield surged to 5.225%, its highest level since 2007. Concurrently, the 30-year Treasury yield reached 5.502%, marking its highest peak since 2004. Investors are rapidly shedding bonds in response to a stronger-than-expected economic background, rising crude oil prices, and hawkish signals from Federal Reserve officials advocating for additional interest rate hikes.
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US stock indices finish flat after a highly volatile trading session
Major equity indices experienced severe intraday swings before paring losses to finish nearly unchanged. The S&P 500 slipped by less than 0.1%, while the Nasdaq Composite edged slightly higher, supported by an afternoon recovery in large-cap technology shares. Conversely, the Dow Jones Industrial Average fell 0.3%, continuing a losing streak as soaring long-term borrowing costs continue to compress broader market valuations.
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Crude oil prices experience intense volatility amid geopolitical conflicts
Brent crude contracts fluctuated wildly, at one point surging over 3% toward $107 a barrel due to military conflicts and supply disruptions in the Middle East. Prices briefly plunged midday following reports that the U.S. and Iran were discussing a phased framework to reopen the Strait of Hormuz. Energy remained one of the few positive sectors in the broader market as traders rushed to hedge against persistent geopolitical risk.
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Cryptocurrency market retreats as expectations for tighter monetary policy intensify
Digital assets surrendered their recent multi-month highs as rising macroeconomic pressures dampened investor risk appetite. Bitcoin fell over 2% to trade near the $83,500 level, while Ethereum experienced similar downward pressure to trade around $2,646. The sell-off was heavily influenced by shifting fed funds futures, which now indicate significantly higher probabilities for interest rate hikes in both October and December.
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