Oct 8, 2026
S&P 500, Dow, and Nasdaq all retreat from Tuesday's record highs as the 10-year Treasury yield touches its highest level since 2002; Levi Strauss tops EPS on tariff refunds but narrowly misses revenue, while Applied Digital posts a wider-than-expected loss on a slower AI-infra quarter.
Oct 7, 2026
Pre-market brief for Oct 7, 2026: S&P and Dow futures modestly higher, VIX down 3.3% to 15.01, Asia and Europe both green overnight, gold near record highs, with APLD and LEVI reporting after the close and PepsiCo on deck tomorrow.
Oct 7, 2026
S&P 500 and Nasdaq close at fresh record highs on Nvidia/AMD strength as Treasury yields fall; Black Sea drone attack and Yemen fighting headline overnight geopolitical risk.
Oct 6, 2026
Pre-market brief for Tuesday Oct 6, 2026 โ broad-based global equity rally, VIX cools below 15.5, gold near record highs, oil slides, Constellation Brands reports after the close.
Oct 5, 2026
Pre-market brief for Monday Oct 5, 2026 โ Asia rally, VIX pop, commodities surge, defense stocks flat, thin earnings calendar ahead of Constellation Brands Tuesday.
Oct 2, 2026
Pre-open markets, geopolitical intel, commodities, and earnings for October 2, 2026.
Oct 1, 2026
S&P 500 and Nasdaq eke out gains to start October despite rising Treasury yields; Accenture surges, Nike sinks on weak FY27 guidance. Geopolitical risk remains elevated but contained (LVL 4 max).
Sep 30, 2026
Pre-market brief: US futures higher across the board, gold up 1.16% to $4,228, oil jumps on geopolitical risk, Iraq troop withdrawal, and Micron leads a light earnings slate.
Sep 30, 2026
Post-market wrap: Dow down 0.86%, S&P off 0.25-0.86% depending on source, VIX up to 16.34, gold steady near record highs, oil easing slightly โ positioning for Nike/Accenture earnings tomorrow.
Sep 29, 2026
Pre-market rundown: Dow/S&P/Nasdaq closed lower Monday as 10-yr yields jump past 5.2%, Boeing down 13% YTD after FAA cert delay, oil firmer near $90. CarMax and Carnival lead a light Tuesday earnings slate.
Sep 29, 2026
Post-market wrap: S&P down 0.6%, Dow flat-to-lower, 10-Yr yield spikes to 5.26% on Iran truce rejection, oil surges, Boeing craters 6.9% on 737 MAX 10 delay, gold sells off, MongoDB CEO exit rattles software names.
Sep 28, 2026
Pre-market rundown: futures higher, VIX up 8.5%, gold down 3%, crude firmer. Geopolitical watch on UK air base incident. CarMax leads Tuesday earnings.
Sep 24, 2026
US indices retreat as rising Treasury yields and a stronger dollar weigh on risk assets; Trump-Xi summit in focus. Earnings: Costco reports AMC; Darden misses, BlackBerry and TD Synnex beat.
Sep 23, 2026
Futures edge lower pre-open on fresh Iran uncertainty as Treasury yields tick up; oil extends its slide on hopes of a US-Iran deal. Earnings: CTAS, PAYX report BMO; GIS and CBRL beat.
Sep 23, 2026
Treasury yields surge to the highest level since 2007 on hot manufacturing data, ending the Nasdaq's record run. Russell 2000 and chips lead losses; earnings from CTAS, PAYX, GIS, CBRL headline a quiet corporate day.
Sep 21, 2026
Markets open the week firmly risk-on: S&P, Dow, Nasdaq all up over half a percent, Bitcoin surges 5.5%, VIX stays calm near 15, while crude oil slides on demand concerns. Geopolitical temperature stays elevated with UNGA underway.
Sep 18, 2026
Pre-market brief for Sept 18, 2026 โ global equities extend the rally, VIX near multi-month lows, Poland warns of Russian escalation risk against Ukraine's allies, and a quiet earnings slate into the weekend.
Sep 17, 2026
Markets rally hard midday with S&P up 1.17%, VIX down nearly 13%. Iran war crimes allegations add geopolitical noise. Boeing sinks 3.7% while defense names hold steady. Thin earnings calendar into Friday.
Sep 17, 2026
One day after the Fed hike and Warsh's hawkish presser tanked the Dow 700+ points, stocks staged a sharp reversal Thursday. Chips led, VIX collapsed 12.8%, and 10-year yields pulled back from 2007 highs. Here's what changed and what to watch into next session.
Sep 17, 2026
The Fed raised rates for the first time in three years โ and Chair Kevin Warsh's press conference spooked markets more than the hike itself. Dow -1.7%, S&P -1%, Nasdaq -0.8%. Here's what it means for the next session.
Sep 16, 2026
Post-close recap ahead of the September 16 FOMC decision โ 10-year yields hit 2007 highs, oil spikes 4%, and Lennar's Q3 print collides with the Fed on the same afternoon.
Sep 15, 2026
Futures retreat ahead of Wednesday's Fed rate decision as AI safety fears (Anthropic's Dario Amodei essay) compound a brutal chip selloff. NVDA, INTC, SMCI, ORCL all down sharply. VIX 16.88, oil holds near $101-110, Treasury yields near 5%. Middle East risk elevated (LVL 7 Saudi/Houthi strikes).
Sep 15, 2026
Post-market wrap: S&P 500 and Nasdaq close lower as chipmakers slide on an Anthropic/OpenAI AI-capability warning; WTI crude holds above $100/bbl; a LVL 7 Russian strike near the Ukraine-Poland border raises overnight risk into the FOMC decision.
Sep 14, 2026
Pre-market brief: futures red across the board as an Anthropic AI-capability warning spooks tech traders, VIX jumps 13%, oil breaks $100/bbl. Earnings calendar for today and tomorrow inside.
Sep 11, 2026
US markets closed lower Thursday as surging oil prices raised rate-hike odds, VIX jumped over 8%, and a wave of big-name earnings produced mixed reactions.
Sep 10, 2026
Pre-market brief: futures lower ahead of jobless claims and tomorrow's CPI, oil spikes 4% past $100 on Persian Gulf tensions, VIX up 7%, Oracle and Adobe report AMC.
Sep 9, 2026
Pre-market brief for Sept 9, 2026 โ futures dip as crude tops $95 on Iran tanker strikes, VIX ticks up, Chewy/Signet/Academy Sports beat, Adobe & Oracle loom Thursday.
Sep 9, 2026
Post-market wrap for Sept 8: Dow -1.18%, S&P -0.58%, Nasdaq -0.32% as oil spikes on Houthi-Saudi escalation; Amgen and Salesforce lead decliners; GDACS/ThinkCreate threat feed flags LVL 5 Saudi-Yemen risk.
Sep 9, 2026
Post-market wrap for Sept 9: S&P -0.48%, Dow -0.77%, Nasdaq -0.64%, Russell -1.32% as VIX jumps 4.7% on Persian Gulf escalation; US military destroys 5 Iranian oil tankers, Yemen tilts toward full-scale war.
Sep 8, 2026
Dow futures down on Mideast escalation and oil spike; Nikkei/Kospi lead Asia higher; earnings loaded week with Casey's, FedEx Freight, GameStop tonight.
Sep 7, 2026
Markets closed for Labor Day. Threat board holds steady on the Iran/Strait of Hormuz standoff while defense stocks sit at weekend-frozen levels. Earnings calendar thin on 9/7-9/8, ramps hard midweek with AeroVironment, Adobe, Kroger and more.
Sep 5, 2026
Week in review โ strong August jobs report knocks stocks lower into the weekend, defense stocks under pressure amid Ukraine escalation, and what's on deck for next week.
Sep 4, 2026
Pre-market brief for Friday, September 4, 2026 โ futures pull back after Thursday's rally, gold drops 2.2%, diesel prices at all-time high, light earnings docket, and rising geopolitical friction from Ukraine to the Falklands.
Sep 3, 2026
Pre-market brief for Sep 3, 2026 โ futures higher, gold surges 2.6%, defense stocks slide, and a stacked earnings slate led by Ciena, Zscaler, Lululemon, DocuSign.
Sep 2, 2026
Pre-open markets, geopolitical intel, commodities, and the September 2 earnings gauntlet โ Broadcom, Snowflake, HPE headline a 42-name day.
Aug 20, 2026
Evening analysis โ North Korea fires missile, Russia escalates strikes, U.S. equities close mixed with WMT down 9%, MRNA down 24%, crypto rallies.
Jul 3, 2026
Markets closed flat on July 4 eve; geopolitical watch continues with Ukraine strikes and Polish warnings.
Jul 2, 2026
Russia escalates strikes on Ukraine's capital. Tech drags Nasdaq lower. Asian markets reel on Korean collapse, Nikkei drops 2.5%.
Jun 30, 2026
Tech-led gains into quarter-end. Nasdaq +1.1% on semis strength. Oil down on Iran ceasefire. Nike earnings AMC today.
Jun 22, 2026
Markets mixed as Nasdaq drops 1.3%. Alan Greenspan dies at 100. US eases Iran oil sanctions amid nuclear talks. Geopolitical watch: LVL 3-4 signals from Ukraine, Gaza, Cuba fuel crisis.