The S&P 500 ticked down 0.37% to 4483.87 on Monday. The Nasdaq composite fell 0.58% to 14015.67 and the Dow Jones Industrial Average remained flat at 35091.13.
The 2 year Treasury note yield is 1.292% and 10 year is 1.920%. The 10-year yield is up 14.0% over five days, up 15.5% over one month, up 42.9% three months ago, and up 75.3% one year ago.
Markets
The SP 500 is down by 0.37% to close at 4483.87. The index is down 0.70% over five days, down 3.99% over one month, down 4.63% over three months and up 14.51% over one year.
The trailing P/E is 25.37 compared to 43.92 one year ago and estimated future P/E 20.05. Dividend yield is currently 1.38 compared with 1.50 one year ago.
Leading stocks were TSN up 12.24%, RCL up 8.52%, NCLH up 8.52%, CCL up 7.67% and AAL up 5.05%.
Trailing stocks were ZBH down 9.19%, CEG down 8.12%, FB down 5.14%, AVY down 4.09% and PYPL down 3.70%.
The Dow Jones industrial Average was at 0.00% to close at 35091.13. The DOW is down 0.12% over five days, down 2.71% over one month, down 3.68% over three months and up 11.81% over one year.
The trailing P/E is 19.75 compared with 31.17 year ago and an estimated future P/E of 18.68. The current dividend yield is 1.98% compared with 1.94 one year ago.
Leading stocks were BA up 2.61%, CVX up 1.96%, AXP up 1.08%, KO up 1.05% and WBA up 1.01%.
Trailing stocks were MSFT down 1.63%, MRK down 1.25%, DOW down 1.16%, CRM down 1.01%, and WMT down 0.98%.
The NASDAQ composite is down 0.58% and closed at 14015.67. NASDAQ is down 1.57% over five days, down 6.20% over one month, down 12.31% over 3 months and up 0.20% over one year.
Leading stocks were KAVL up 51.40%, SEED up 34.81%, LKCO up 24.31%, PTON up 20.93% and CTRM up 20.25%.
Trailing stocks were DRMA down 34.68%, CRNC down 31.41%, NISN down 24.83%, STAB down 21.37%, and VLCN down 16.61%.
The MidCap SP400 went down by 0.01% to close at 2622.81. The SP400 is down 0.48% for the past 5 days, down 5.73% for the past month, down 9.79% for the past 3 months and up 4.20% over the past year.
Leading stocks were ARWR up 4.72%, BKH up 4.29% and MTX up 3.88%.
Trailing stocks were CRNC down 31.41%, RUN down 4.86% and THC down 3.90%
The SmallCap SP600 is up by 0.09% to close at 1284.82. The SP600 is down 1.11% for the past 5 days, down 6.83% for the past month, down 12.36% for the past 3 months and up 0.19% over the past year.
Leading stocks were VIVO up 9.47%, ENVA up 9.17% and VNDA up 8.52%.
Trailing stocks were CYH down 7.69%, ROCC down 7.60% and LPI down 6.15%.
The CBOE VIX is down by 1.55% and closed at 22.86. The VIX is down 7.93% over five days, up 17.84% over one month, up 32.75% over three months and up 7.63% over one year.
On the New York stock exchange 1801 stocks advanced and 1567 declined, while on Nasdaq 2710 advanced and 2017 declined.
There were 53 new 52 week highs and 199 new 52 week lows on NYSE with 50 new highs and 238 new lows on NASDAQ.
The 2 year Treasury note yield is 1.292% and 10 year is 1.920%. The 10-year yield is up 14.0% over five days, up 15.5% over one month, up 42.9% three months ago, and up 75.3% one year ago.
SP500 Sector Performance % Change:
Energy +1.31
Financials +0.33
Consumer Staples +0.10
Industrials +0.07
Real Estate -0.09
Health Care -0.13
Utilities -0.20
Consumer Discretionary -0.22
Materials -0.43
Information Technology -0.66
Communication Services -2.24
Energy has been up 5.84% over five days, up 14.15% over one month, up 19.38% over three months and up 59.14% over one year.
Communication Services has been down 4.77% over five days, down 8.41% over one month, down 14.40% over three months and up 1.34% over one year.
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