Close-of-session data. Every figure is measured; every label is a fixed rule applied the same way every day — see the methodology note below.
The Tape
| Index | Day | Last | YTD | 12-mo | vs 50-day | vs 200-day | Trend |
|---|---|---|---|---|---|---|---|
| S&P 500 | -0.2% | 7,801.15 | +14.0% | +16.2% | +1.7% | +7.8% | Uptrend, bullish |
| Dow Jones Industrials | -0.7% | 51,179.87 | +6.5% | +9.8% | -2.9% | +1.7% | Pullback, bullish |
| Nasdaq Composite | -0.2% | 27,538.69 | +18.5% | +20.8% | +4.3% | +11.2% | Uptrend, bullish |
| Russell 2000 | -1.3% | 2,793.20 | +12.5% | +13.6% | -5.0% | +0.3% | Pullback, bullish |
- Dow Jones Industrials: 22 consecutive closes below the 50-day average.
- Russell 2000: 28 consecutive closes below the 50-day average.
Rates and the Curve
- 2-year Treasury: 4.77% (-2 bp)
- 10-year Treasury: 5.28% (+1 bp) — above its 50-day average (+41 bp)
- 30-year Treasury: 5.67% (+3 bp)
- 2s10s spread: +51 bp (positively sloped)
The Dollar
- vs. the euro: +0.6% on the day — strengthening (euro at $1.1196)
- vs. the yen: -0.0% on the day — mixed (¥158.08 per dollar)
Sectors
11 sectors ranked by today’s move — 5 of 11 finished higher:
- Utilities: +2.26%
- Technology: +1.14%
- Consumer Cyclical: +1.07%
- Healthcare: +0.93%
- Consumer Defensive: +0.06%
- Financial Services: -0.09%
- Communication Services: -0.50%
- Industrials: -0.71%
- Energy: -0.94%
- Basic Materials: -1.04%
- Real Estate: -1.12%
Sector figures are the day’s move only — no trend label, because our data plan does not carry a tradable sector series to average.
How to read this report
Every figure above is a measured close-of-session number, and every label is a fixed rule applied the same way every day — a description of the data, not a forecast and not a claim about why anything moved.
- Trend — Uptrend: above both the 50- and 200-day averages. Pullback: below the 50-day but above the 200-day. Recovery: above the 50-day but below the 200-day. Downtrend: below both. Bullish/bearish: the 50-day average above/below the 200-day.
- vs 50-day / vs 200-day — how far the last price sits above (+) or below (−) that average, in percent. Larger gaps mean a more stretched move.
- YTD / 12-mo — change since last year’s close, and since the same date a year ago.
- Breadth — simple counts across MSI’s tracked large-cap universe; it is not the whole market.
Full definitions: Market Recap methodology. This is data and classification, not investment advice.