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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 benchmarks rebound as technology sector recovers from artificial intelligence anxieties
Major U.S. indices edged higher on Friday as investor sentiment stabilized following a previous tech-led downturn. The recovery came as early concerns surrounding OpenAI's annualized revenue reports faded, allowing the Nasdaq and S&P 500 to bounce back from their sharp mid-week declines.
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Energy markets stabilize as geopolitical oil supply fears temporarily ease
Crude oil prices moderated slightly after assurances that immediate military escalations affecting Middle East energy infrastructure would be avoided ahead of upcoming political events. Despite the minor relief, Brent crude futures continued to hover above the key threshold of one hundred dollars per barrel, sustaining broader inflationary anxieties.
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Bond market remains under pressure as benchmark Treasury yields hover near multi-decade highs
The 10-year Treasury yield fluctuated around 5.25%, remaining close to its highest level in twenty-four years reached earlier in the week. Persistent worries regarding inflation, elevated borrowing costs, and structural budget deficits have kept global sovereign debt markets highly volatile.
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Consumer sentiment dips amid persistent inflationary strains on household budgets
The University of Michigan's preliminary October consumer sentiment index projected a decline from the prior month to 47.6. The downbeat reading underscores the lingering pressure that high interest rates and elevated cost-of-living constraints continue to exert on household finances heading into the fourth quarter.
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