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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 | |
|---|---|---|---|---|---|---|---|---|---|---|---|
SIXRE Real estate | SIXRE +1.90% arrow_upward | 204.54 | +3.82 arrow_upward | +1.90% arrow_upward | — | 200.72 | 200.72 | 204.90 | 200.72 | — | — |
SIXC Communications | SIXC -1.59% arrow_downward | 576.72 | -9.32 arrow_downward | -1.59% arrow_downward | — | 586.04 | 586.04 | 586.04 | 576.54 | — | — |
SIXV Health care | SIXV +1.58% arrow_upward | 1,727.75 | +26.90 arrow_upward | +1.58% arrow_upward | — | 1,700.85 | 1,701.39 | 1,729.73 | 1,696.31 | — | — |
SIXY Discretionary | SIXY +1.05% arrow_upward | 2,281.61 | +23.60 arrow_upward | +1.05% arrow_upward | — | 2,258.01 | 2,269.80 | 2,284.12 | 2,269.17 | — | — |
SIXM Financials | SIXM +0.91% arrow_upward | 674.91 | +6.06 arrow_upward | +0.91% arrow_upward | — | 668.85 | 669.02 | 675.90 | 668.77 | — | — |
US market summary
Wall Street caps volatile week with strong gains as tech rebounds
Major U.S. stock indexes advanced to close out the week on a positive note, shaking off a steep technology-driven sell-off from the prior session. The blue-chip Dow Jones Industrial Average added over 420 points, while the S&P 500 and the tech-heavy Nasdaq Composite both gained more than half a percent. Broad-based buying propelled all three averages to positive weekly performances despite persistent pressure from multi-decade high Treasury yields.
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Geopolitical remarks ease oil supply anxieties ahead of midterm elections
Crude oil futures backed off their recent highs after the White House indicated there are no immediate plans to strike Iran prior to next month's midterm elections. A newly announced arrangement to secure diesel supplies from Russia further relieved energy constraints, though international benchmark Brent crude still maintained its footing above $100 per barrel following localized shipping attacks near the Strait of Hormuz.
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Bond market stabilizes near multi-decade highs amid rate hike forecasts
The benchmark 10-year U.S. Treasury yield fluctuated before settling around 5.24% as investors factored in tight monetary policy for the remainder of the year. Recent Federal Reserve meeting minutes revealed that central bankers favor additional rate tightening by the end of December. Concurrently, the dollar index scored its fourth consecutive weekly gain as market participants prepared for elevated borrowing costs.
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Cryptocurrency market attempts recovery after severe derivative liquidations
The digital asset space showed signs of stabilizing after experiencing its largest long-side liquidation event in three months, which temporarily wiped out nearly $88 billion in market value. Macroeconomic headwinds and significant outflows from spot Bitcoin exchange-traded funds added heavy downward pressure. Bitcoin hovered near the $83,000 threshold, remaining down about 25% year-over-year as traders watch for upcoming central bank policy adjustments.
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