Russell 2000 Daily Analysis2026-09-10

Session: ClosingLatest

NY: 09/10/2026, 04:36 PM
Local: ...
Close
2,890.95
Change
-1.04%
1W Change
-2.11%
20D Change
-5.07%
EMA20
2,969.75
EMA50
2,965.83
EMA200
2,782.48
RSI (14)
36.2
ATR (14)
31.42
Volatility (20D)
13.08%
Distance from 20D High
-5.82%
Advancers
2
Decliners
9
Volume
0
VIX
17.84
US10Y
4.94%
DXY
99.09

Sector Leaders

Communication Services +0.61%Consumer Staples +0.05%Financials -0.33%

Top Gainers

SWKS84.03+9.79%
APPS11.80+6.69%
RDDT155.34+6.08%

Top Losers

ORBS0.94-9.83%
PURR11.01-8.48%
REPL13.24-8.37%

Russell 2000 is trading lower with weak breadth and negative momentum, sitting below its short-term moving averages but still above the long-term trend line.

Market Drivers

The decline is driven by broad-based selling pressure, with decliners heavily outnumbering advancers and only a few defensive sectors showing marginal gains.

Trend Interpretation

The index is below its short-term moving averages, indicating a bearish short-term structure, while remaining above the long-term average, suggesting the longer-term uptrend is still intact but under pressure.

Risk Factors

Key risks include elevated volatility, rising Treasury yields, and a strong dollar, which could continue to weigh on small-cap stocks and exacerbate the pullback.

Bullish

A bullish scenario would involve a rebound above the short-term moving averages, improving market breadth, and a stabilization in yields and the dollar, leading to a recovery toward recent highs.

Neutral

A neutral scenario would see the index oscillating in a range, with mixed sector performance and no clear directional bias, as investors await clearer catalysts.

Risk

A risk scenario would involve a break below the long-term moving average, accelerating selling pressure, widening decliners, and a sharp increase in volatility, potentially leading to further downside.

Session: Premarket

NY: 09/10/2026, 09:05 AM
Local: ...
Close
2,900.38
Change
-0.71%
1W Change
-1.79%
20D Change
-4.76%
EMA20
2,970.65
EMA50
2,966.20
EMA200
2,782.58
RSI (14)
37.2
ATR (14)
30.93
Volatility (20D)
12.87%
Distance from 20D High
-5.52%
Advancers
2
Decliners
9
Volume
0
VIX
17.27
US10Y
4.92%
DXY
98.91

Sector Leaders

Communication Services +0.54%Consumer Staples +0.33%Consumer Discretionary -0.03%

Top Gainers

SWKS82.01+7.15%
RDDT156.43+6.82%
MDB374.33+4.45%

Top Losers

GOLD45.64-7.48%
BKR59.13-7.09%
FCX71.03-6.82%

Russell 2000 is trading lower in premarket with weak breadth and a slight weekly decline, reflecting cautious sentiment.

Market Drivers

The move is driven by broad-based selling pressure, with decliners outpacing advancers and notable weakness in materials and energy-related names.

Trend Interpretation

The index is trading below its short-term moving averages, indicating a bearish short-term trend, while remaining above its long-term average, suggesting the longer-term uptrend is still intact but losing momentum.

Risk Factors

Key risks include elevated volatility, rising Treasury yields, and a strong dollar, which could continue to pressure small-cap stocks.

Bullish

A bullish scenario would involve a rebound above short-term moving averages, improving market breadth, and a pullback in volatility and yields.

Neutral

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

Risk

A risk scenario would involve a break below long-term support, worsening breadth, and a spike in volatility, leading to further downside.

Session: Midday

NY: 09/10/2026, 01:05 PM
Local: ...
Close
2,896.30
Change
-0.85%
1W Change
-1.93%
20D Change
-4.90%
EMA20
2,970.26
EMA50
2,966.04
EMA200
2,782.54
RSI (14)
36.8
ATR (14)
30.93
Volatility (20D)
12.95%
Distance from 20D High
-5.65%
Advancers
2
Decliners
9
Volume
0
VIX
17.39
US10Y
4.92%
DXY
98.99

Sector Leaders

Communication Services +0.59%Consumer Staples +0.28%Consumer Discretionary -0.08%

Top Gainers

SWKS84.28+10.11%
RDDT156.72+7.02%
APPS11.68+5.60%

Top Losers

GOLD45.63-7.50%
PURR11.15-7.32%
FCX70.75-7.19%
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?