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
-0.51%
1,095.71
-5.66
-0.51%
1,101.371,103.631,103.631,091.41
SIXC
Communications
SIXC
Communications
SIXC
-1.18%
606.09
-7.26
-1.18%
613.35613.35613.35605.79
SIXE
Energy
SIXE
Energy
SIXE
-0.30%
1,195.20
-3.63
-0.30%
1,198.831,199.681,199.751,187.98
SIXI
Industrials
SIXI
Industrials
SIXI
-0.80%
1,741.83
-14.12
-0.80%
1,755.951,754.061,756.031,740.43
SIXM
Financials
SIXM
Financials
SIXM
-0.40%
635.96
-2.55
-0.40%
638.51637.41637.41633.05
SIXR
Staples
SIXR
Staples
SIXR
+0.31%
846.14
+2.62
+0.31%
843.52843.35846.40840.16
SIXRE
Real estate
SIXRE
Real estate
SIXRE
+0.15%
216.27
+0.32
+0.15%
215.95215.95216.52215.25
SIXT
Technology
SIXT
Technology
SIXT
+1.32%
3,180.23
+41.32
+1.32%
3,138.913,189.303,208.543,174.76
SIXU
Utilities
SIXU
Utilities
SIXU
+0.13%
935.54
+1.17
+0.13%
934.37934.72936.04927.50
SIXV
Health care
SIXV
Health care
SIXV
-1.17%
1,460.16
-17.27
-1.17%
1,477.431,474.121,474.121,456.42
SIXY
Discretionary
SIXY
Discretionary
SIXY
+0.49%
2,391.87
+11.68
+0.49%
2,380.192,389.342,396.912,380.47
Top movers in your lists
Symbols
Symbols
Price
Change
% Change
Trend
Prev Close
Open
High
Low
Volume
Mkt Cap
SIXT
Technology
SIXT
Technology
SIXT
+1.32%
3,180.23
+41.32
+1.32%
3,138.913,189.303,208.543,174.76
SIXC
Communications
SIXC
Communications
SIXC
-1.18%
606.09
-7.26
-1.18%
613.35613.35613.35605.79
SIXV
Health care
SIXV
Health care
SIXV
-1.17%
1,460.16
-17.27
-1.17%
1,477.431,474.121,474.121,456.42
SIXI
Industrials
SIXI
Industrials
SIXI
-0.80%
1,741.83
-14.12
-0.80%
1,755.951,754.061,756.031,740.43
SIXB
Materials
SIXB
Materials
SIXB
-0.51%
1,095.71
-5.66
-0.51%
1,101.371,103.631,103.631,091.41
US market summary
Major U.S. stock indexes faced pressure on April 24, 2026, as uncertainty surrounding stalled peace talks between the U.S. and Iran weighed on investor sentiment. While tech shares like Intel surged following strong earnings results, the broader market struggled, with the S&P 500 and Dow Jones Industrial Average pulling back from recent all-time highs.
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Intel leads semiconductor rally after earnings beat
Intel shares experienced a massive surge in premarket trading, jumping as much as 25% following a quarterly report that exceeded expectations. The company's optimistic outlook on AI-driven demand provided a significant boost to the semiconductor sector, helping to bolster the tech-heavy Nasdaq even as other market segments declined.
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Oil prices remain elevated amid Middle East shipping risks
Energy markets continue to show volatility, with Brent crude trading near $100 per barrel due to persistent concerns over the Strait of Hormuz. Despite some fluctuations in futures, the ongoing blockade and unresolved regional conflict have kept a significant risk premium on oil, fueling broader inflationary fears across global economies.
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Treasury yields stabilize near decade highs
The yield on the 10-year U.S. Treasury note held steady around 4.31% as investors balanced geopolitical risks with upcoming economic data. While the extension of a ceasefire between Israel and Lebanon provided minor relief, yields remain at multi-year highs as markets anticipate a 'higher for longer' interest rate environment from the Federal Reserve.
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Bitcoin holds steady above 78,000 amid institutional interest
Bitcoin maintained its position above the $78,000 level, supported by consistent spot ETF inflows and renewed risk appetite in digital assets. Market analysts noted that the cryptocurrency is increasingly moving in tandem with the technology sector, though its short-term trajectory remains sensitive to macro shifts in energy prices and interest rate expectations.
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Earnings season reveals divergence in tech sector performance
While some tech giants have thrived, others like Tesla and Salesforce faced sharp declines on April 24, 2026, as investors scrutinized rising capital expenditures and shifting valuations. The current reporting cycle shows a tightening gap between high-flying tech stocks and the broader market as investors pivot toward companies with more durable earnings fundamentals.
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