Market Review
U.S. stocks finished another week with losses. The Dow Jones Industrial Average lost 1.4% over the week to 34,326.46. The S&P 500 booked a weekly loss of 2.2% to close at 4,357.04. The Nasdaq plummeted 3.2% for the week to end at 14,566.70. The S&P 500 finished the month down 4.8%, breaking a seven-month winning streak. The Dow and the Nasdaq Composite fell 4.3% and 5.3%, respectively, suffering their worst months of the year. Nearly all key S&P sectors ended in negative territory for the week, led by health care. The energy sector was the only gainer. The CBOE Volatility Index (VIX), widely considered the best gauge of fear in the market, traded near 21.2. Read MoreYou are currently viewing a placeholder content from X. To access the actual content, click the button below. Please note that doing so will share data with third-party providers.
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