The markets dropped on Wednesday with the S&P 500 losing 0.51% to close at 4551.68, the Dow Jones Industrial Average losing 0.74% to close at 35490.69, and the Nasdaq Composite remained at 15235.84.
The SP 500 is down by 0.51% to close at 4551.68. The index is up 0.34% over five days, up 4.41% over one month, up 3.43% over three months and up 39.15% over one year.
The trailing P/E is 30.45 compared to 38.25 one year ago and estimated future P/E 22.17. Dividend yield is currently 1.32 compared with 1.73 one year ago.
Leading stocks were ENPH up 24.65%, JNPR up 8.48%, TER up 6.88%, FFIV up 5.94% and XLNX up 5.22%.
Trailing stocks were ROL down 10.81%, TWTR down 10.78%, FISV down 10.02%, GRMN down 8.79% and GPN down 7.59%.
The Dow Jones industrial Average is down by 0.74% to close at 35490.69. The DOW is down 0.33% over five days, up 3.20% over one month, up 1.60% over three months and up 33.83% over one year.
The trailing P/E is 22.91 compared with 25.10 year ago and an estimated future P/E of 18.93. The current dividend yield is 1.80% compared with 2.32 one year ago.
Leading stocks were MSFT up 4.21%, MCD up 2.67%, KO up 1.93%, HD up 0.85% and CSCO up 0.66%.
Trailing stocks were V down 6.92%, DOW down 4.62%, WBA down 2.46%, MMM down 2.15%, and JPM down 2.08%.
The NASDAQ composite is at 0.00% and closed at 15235.84. NASDAQ is up 0.75% over five days, up 4.98% over one month, up 3.21% over 3 months and up 38.45% over one year.
Leading stocks were SYTA up 83.39%, CXDC up 58.97%, AGRI up 46.76%, GRTX up 27.51% and GHSI up 27.12%.
Trailing stocks were CRTX down 76.58%, IINN down 58.29%, BIMI down 57.47%, ANGN down 55.58%, and DBVT down 28.71%.
The MidCap SP400 is down by 1.55% to close at 2749.37. The SP400 is down 1.25% for the past 5 days, up 2.52% for the past month, up 2.60% for the past 3 months and up 45.04% over the past year.
Leading stocks were SLAB up 18.86%, BCO up 11.50% and TMHC up 9.58%.
Trailing stocks were SIX down 8.44%, NYCB down 8.03% and UMBF down 7.40%
The SmallCap SP600 is down by 1.98% to close at 1353.21. The SP600 is down 1.82% for the past 5 days, up 0.08% for the past month, up 1.79% for the past 3 months and up 54.68% over the past year.
Leading stocks were CARA up 15.72%, CHEF up 12.08% and CTS up 7.98%.
Trailing stocks were AGYS down 19.94%, ROCK down 10.61% and HA down 9.53%.
The CBOE VIX is up 6.26% and closed at 16.98. The VIX is up 9.62% over five days, down 24.73% over one month, down 7.26% over three months and down 57.85% over one year.
On the New York stock exchange 940 stocks advanced and 2379 declined, while on Nasdaq 1376 advanced and 3185 declined.
There were 92 new 52 week highs and 49 new 52 week lows on NYSE with 116 new highs and 138 new lows on NASDAQ.
The 2 year Treasury note yield is 0.512% and 10 year is 1.553%. The 10 year yield is down 14.9% over five days, up 6.6% over one month, up 28.1% three months ago, and up 72.6% one year ago.
SP500 Sector Performance % change
Communication Services +0.95
Consumer Discretionary +0.24
Information Technology -0.19
Consumer Staples -0.52
Utilities -0.67
Real Estate -0.73
Health Care -0.81
Industrials -1.21
Materials -1.43
Financials -1.69
Energy -2.86
Communication Services is down 1.07% over five days, up 1.04% over one month, down 1.83% over three months and up 40.93% over one year.
Energy has been down 1.68% over five days, up 8.57% over one month, up 15.94% over three months and up 107.97% over one year.
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