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Symbols
Symbols
Price
Change
% Change
Trend
Prev Close
Open
High
Low
Volume
Mkt Cap
SIXB
Materials
SIXB
Materials
SIXB
+1.67%
1,122.81
+18.40
+1.67%
1,104.411,105.431,127.721,105.43
SIXC
Communications
SIXC
Communications
SIXC
+1.38%
586.94
+7.98
+1.38%
578.96578.96590.34578.96
SIXV
Health care
SIXV
Health care
SIXV
+0.79%
1,745.58
+13.61
+0.79%
1,731.971,734.701,760.861,734.70
SIXM
Financials
SIXM
Financials
SIXM
+0.78%
709.58
+5.49
+0.78%
704.09704.74716.71704.74
SIXRE
Real estate
SIXRE
Real estate
SIXRE
-0.73%
214.61
-1.58
-0.73%
216.19216.19216.19213.79
US market summary
Wall Street Shows Resilience Amid Shifting Sector Leadership
Major U.S. equity indexes continue to exhibit steady performance entering the final stretch of the third quarter. While technology behemoths face minor headwinds following recent earnings reports, traditional value sectors like financials and industrials are picking up the slack, maintaining market stability near historical highs.
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Treasury Yields Stabilize as Investors Await Macroeconomic Indicators
The fixed-income market has experienced a period of relative calm, with the 10-year U.S. Treasury yield consolidating within a tight trading range. Investors are largely holding positions ahead of crucial labor market data and upcoming central bank commentary expected to hint at future policy directions.
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Cryptocurrency Markets Consolidate Ahead of Institutional Inflows
Digital assets, including Bitcoin and Ethereum, are undergoing a period of price consolidation after a volatile summer. Market analysts note that trading volumes remain steady as institutional participants increasingly adopt regulated exchange-traded products, laying a firmer foundation for the asset class.
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Energy Sector Fluctuates on Global Supply Adjustments
Crude oil prices have witnessed heightened volatility due to shifting production policies from major global exporters and mixed demand forecasts from large industrial economies. This has led to mixed performance among major U.S. energy producers, as companies balance capital discipline against fluctuating crude benchmarks.
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