According to Investing dot com and the Wall Street Journal, the major United States indexes finished Monday mixed, with the Standard and Poor's five hundred down fourteen point four one points, or zero point one nine percent, the Dow Jones Industrial Average down three hundred seven point one six points, or zero point five nine percent, and the Nasdaq Composite down twelve point one seven points, or zero point zero five percent, while the Nasdaq one hundred inched up eleven point five eight points, or zero point zero four percent.[1][3] The main drag came from rising crude oil prices and higher bond yields, which pressured stocks and offset a modest rebound in semiconductor shares; the Wall Street Journal also said investor concern over artificial intelligence valuations and Middle East tensions kept sentiment cautious.[3][6]
According to the Wall Street Journal and Saxo, notable strength showed up in chipmakers and some artificial intelligence names, while Apple was a major laggard and energy linked inflation worries weighed on the broader market.[3][22] Saxo also reported that crude oil settled at one month highs, the United States and Iran conflict remained a key market overhang, and only one hundred sixty five of five hundred three Standard and Poor's five hundred stocks advanced, showing weak breadth.[22]
According to CNBC and Barron's style market coverage, futures were little changed overnight, with Standard and Poor's five hundred futures and Nasdaq one hundred futures near flat, pointing to a calm open unless new headlines hit.[6][12] Investors will be watching more second quarter earnings from large technology companies, including Alphabet, Tesla, and Intel, along with any fresh developments on Middle East tensions and energy prices as potential catalysts.[3][17]
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