Finance

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Lists
Equity sectors
Symbols
Symbols
Price
Change
% Change
Trend
Prev Close
Open
High
Low
Volume
Mkt Cap
SIXB
Materials
SIXB
Materials
SIXB
-0.36%
1,040.69
-3.71
-0.36%
1,044.401,041.751,048.311,037.77
SIXC
Communications
SIXC
Communications
SIXC
-1.59%
560.36
-9.05
-1.59%
569.41569.41569.41558.54
SIXE
Energy
SIXE
Energy
SIXE
+1.71%
1,317.69
+22.18
+1.71%
1,295.511,294.951,321.871,289.74
SIXI
Industrials
SIXI
Industrials
SIXI
-1.27%
1,606.91
-20.60
-1.27%
1,627.511,623.211,627.281,603.21
SIXM
Financials
SIXM
Financials
SIXM
-2.49%
590.28
-15.10
-2.49%
605.38603.79603.79588.51
SIXR
Staples
SIXR
Staples
SIXR
+0.79%
827.98
+6.50
+0.79%
821.48822.07833.11819.99
SIXRE
Real estate
SIXRE
Real estate
SIXRE
-0.68%
197.04
-1.35
-0.68%
198.39198.39199.10196.67
SIXT
Technology
SIXT
Technology
SIXT
-1.92%
2,618.20
-51.38
-1.92%
2,669.582,654.812,660.502,611.26
SIXU
Utilities
SIXU
Utilities
SIXU
+0.61%
924.66
+5.61
+0.61%
919.05920.79933.78918.70
SIXV
Health care
SIXV
Health care
SIXV
-1.71%
1,449.59
-25.17
-1.71%
1,474.761,475.771,475.771,447.42
SIXY
Discretionary
SIXY
Discretionary
SIXY
-2.87%
2,136.89
-63.11
-2.87%
2,200.002,191.332,191.332,132.17
Top movers in your lists
Symbols
Symbols
Price
Change
% Change
Trend
Prev Close
Open
High
Low
Volume
Mkt Cap
SIXY
Discretionary
SIXY
Discretionary
SIXY
-2.87%
2,136.89
-63.11
-2.87%
2,200.002,191.332,191.332,132.17
SIXM
Financials
SIXM
Financials
SIXM
-2.49%
590.28
-15.10
-2.49%
605.38603.79603.79588.51
SIXT
Technology
SIXT
Technology
SIXT
-1.92%
2,618.20
-51.38
-1.92%
2,669.582,654.812,660.502,611.26
SIXE
Energy
SIXE
Energy
SIXE
+1.71%
1,317.69
+22.18
+1.71%
1,295.511,294.951,321.871,289.74
SIXV
Health care
SIXV
Health care
SIXV
-1.71%
1,449.59
-25.17
-1.71%
1,474.761,475.771,475.771,447.42
US market summary
U.S. stock futures fell sharply as markets entered a holiday-shortened trading week, following a five-week losing streak for the S&P 500. Investor sentiment has been severely dampened by the ongoing conflict in Iran, which has pushed the Dow Jones Industrial Average and Nasdaq Composite into correction territory as they give up all 2026 gains.
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Energy prices surge amid Middle East supply concerns
Oil prices have climbed significantly, with West Texas Intermediate trading above $102 and Brent crude reaching $116 per barrel. The conflict's expansion into its fifth week has heightened fears of a prolonged energy crisis, contributing to national gasoline prices nearing $4 per gallon in the United States.
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Treasury yields reach multi-year highs on inflation fears
The yield on the 10-year Treasury note recently peaked at 4.48%, its highest level since mid-2025, driven by stagflationary concerns linked to rising fuel costs. While yields retreated slightly late in the week, investors remain cautious as the market adjusts expectations for future Federal Reserve interest rate cuts.
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Recession warnings mount as consumer sentiment hits multi-month lows
Economic indicators are flashing caution, with Moody's AI-driven recession model reaching a 49% probability, a level that historically precedes a downturn. Consumer confidence has plummeted to its lowest point since late 2024, reflecting public anxiety over the impact of geopolitical shocks on the domestic labor market and shipping costs.
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Cryptocurrency market stabilizes in extreme fear territory
Bitcoin has struggled to maintain support above $70,000 as the broader digital asset market remains in a macro-dominated capitulation phase. Despite the current 'Extreme Fear' sentiment, institutional interest remains a factor as regulators face deadlines for numerous pending crypto ETF applications.
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Earnings outlook remains positive despite broader market volatility
Analysts project broad-based earnings growth across all sectors for 2026, with major gains expected in aerospace and technology. While the 'Magnificent 7' tech stocks continue to influence benchmarks, early 2026 data shows a broadening of profit growth to include more cyclical sectors like industrials and materials.
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