Dow Jones Daily Analysis2026-09-09

Session: ClosingLatest

NY: 09/09/2026, 04:09 PM
Local: ...
Close
52,380.66
Change
-0.77%
1W Change
-0.73%
20D Change
-2.62%
EMA20
53,178.06
EMA50
52,765.16
EMA200
50,271.62
RSI (14)
41.1
ATR (14)
478.28
Volatility (20D)
10.33%
Distance from 20D High
-3.09%
Advancers
2
Decliners
9
Volume
402,118,606
VIX
16.37
US10Y
4.84%
DXY
98.81

Sector Leaders

Energy +0.83%Technology +0.03%Healthcare -0.33%

Top Gainers

SIG102.43+23.90%
NET314.12+10.49%
DDOG225.27+7.15%

Top Losers

VRT262.77-9.65%
PINS18.29-9.19%
FUN14.30-9.15%

The Dow closed lower, extending its recent pullback, with a negative tone across most components.

Market Drivers

The decline was broad-based, with decliners outnumbering advancers, while energy and technology sectors showed relative strength.

Trend Interpretation

The index is trading below its short-term and medium-term moving averages, indicating a corrective phase within a longer-term uptrend.

Risk Factors

Key risks include rising volatility and a potential breakdown below key support levels if selling pressure persists.

Bullish

A bullish scenario would see the index reclaim its short-term moving averages and stabilize, suggesting the pullback is a healthy correction.

Neutral

A neutral scenario involves continued consolidation within a range, with the index oscillating around its moving averages.

Risk

In a risk scenario, the index could extend its decline, testing lower support levels as momentum weakens further.

Session: Premarket

NY: 09/09/2026, 09:04 AM
Local: ...
Close
52,786.07
Change
-1.18%
1W Change
-0.75%
20D Change
-2.21%
EMA20
53,262.00
EMA50
52,780.85
EMA200
50,218.95
RSI (14)
45.1
ATR (14)
478.80
Volatility (20D)
10.09%
Distance from 20D High
-2.65%
Advancers
3
Decliners
8
Volume
417,970,000
VIX
16.35
US10Y
4.81%
DXY
98.68

Sector Leaders

Energy +1.11%Utilities +0.86%Technology +0.32%

Top Gainers

ORBS1.14+26.11%
SES0.57+13.32%
FRMI5.71+11.52%

Top Losers

SGML10.43-15.82%
NVS137.70-13.93%
HWM231.53-10.70%

The Dow Jones is experiencing a modest decline in premarket trading, with a negative tone and more decliners than advancers.

Market Drivers

The move is driven by broad market weakness, as reflected in the negative breadth and a slight uptick in volatility, while safe-haven assets like the dollar and bonds show strength.

Trend Interpretation

The index is trading below its short-term moving average but hovers near its medium-term average, indicating a consolidation phase with a slight bearish tilt.

Risk Factors

Key risks include a potential breakdown below the medium-term support, rising volatility, and a continued deterioration in market breadth.

Bullish

In a bullish scenario, the index could stabilize and reclaim its short-term moving average, supported by a rebound in leading sectors and a decline in volatility.

Neutral

A neutral scenario would see the index oscillating around its medium-term average, with mixed signals and no clear directional bias.

Risk

In a risk scenario, the index could extend its decline, breaking below key support levels, as volatility spikes and defensive sectors outperform.

Session: Midday

NY: 09/09/2026, 01:05 PM
Local: ...
Close
52,451.69
Change
-0.63%
1W Change
-0.60%
20D Change
-2.49%
EMA20
53,184.83
EMA50
52,767.95
EMA200
50,272.33
RSI (14)
41.7
ATR (14)
478.28
Volatility (20D)
10.23%
Distance from 20D High
-2.96%
Advancers
2
Decliners
9
Volume
186,337,809
VIX
16.31
US10Y
4.85%
DXY
98.74

Sector Leaders

Energy +0.54%Technology +0.13%Financials -0.23%

Top Gainers

SIG98.50+19.15%
NET312.63+9.97%
DDOG225.09+7.07%

Top Losers

SES0.52-8.51%
PINS18.44-8.42%
VRT266.50-8.37%

The Dow Jones is trading lower in a cautious session, with a negative tone prevailing across most components.

Market Drivers

The decline is broad-based, with decliners outnumbering advancers, while energy and technology sectors show relative strength.

Trend Interpretation

The index is below its short-term and medium-term moving averages, indicating a corrective phase within a longer-term uptrend.

Risk Factors

Key risks include deteriorating market breadth and elevated volatility, which could signal further downside if not contained.

Bullish

In a bullish scenario, the index could stabilize near current levels and reclaim its short-term moving averages, supported by leadership from defensive and growth sectors.

Neutral

A neutral scenario would see the index oscillating in a range, with mixed sector performance and no clear directional catalyst.

Risk

In a risk scenario, continued selling pressure could push the index toward its longer-term moving average, with volatility expanding further.

BogaStock

Delivers AI-powered in-depth analysis of 6,000+ stocks and ETFs traded on US exchanges; also tracks and analyzes global markets, forex, precious metals, and crypto.

Open Terminal

This page does not constitute investment advice. Content here is for informational and analytical purposes only. Data may be delayed and is not guaranteed to be accurate, complete, or current. Past performance does not indicate future results. Always do your own research before making any investment decision.

All data is delayed by 15 minutes and updated at the top of each hour.

© Blue One Global Analysis. 2021-2026 BogaStock.com - Powered by AFK DaSYS All Rights Reserved.

🦊

Olivia

BOGA COPILOT

Hello! Welcome to BOGASTOCK. Ready to guide you and analyze the market based on your active dashboard panels. Which list would you like to examine today?