U.S. stock futures Mixed in pre-market trading for Monday, July 30.The Nasdaq Futures is trading at 7,286.75 with a loss of -0.20% percent or -14.50 point.The Dow Futures is trading at 25,419.00 up with +0.02% percent or +5.00 point. The S&P 500 Futures is trading at 2,815.50 with a loss of -0.07% percent or -2.00 point.
In overnight trading in the Eastern Hemisphere, Japan’s Nikkei 225 is trading at 22,544.84 with a loss of -0.74% percent or -167.91 point. Hong Kong’s Hang Seng is trading at 28,713.31 with a loss of -0.32% percent or -90.97 point. China’s Shanghai Composite is trading at 2,869.05 with a loss of -0.16% percent or -4.54 point. India’s BSE Sensex is trading at 37,460.62 up with +0.33% percent or +123.77 point at 12:15 PM.The FTSE 100 is trading at 7,701.35 up with +0.02% percent or +3.63 point. Germany’s DAX is trading at 12,840.01 with a loss of -0.16% percent or -20.39 point. France’s CAC 40 is trading at 5,498.80 with a loss of -0.24% percent or -12.96 point. The Stoxx Europe 600 is trading at 391.14 with a loss of -0.24% percent or -0.93 point.
Monday’s Factors and Events
U.S. government debt prices dipped into negative territory on Monday.
The yield on the benchmark 10-year Treasury note was higher at around 2.980 percent at 4:55 a.m. ET, while the yield on the 30-year Treasury bond was in the black at 3.107 percent. Bond yields move inversely to prices.
As earnings season and concerns surrounding trade continue to keep Wall Street busy, for bond investors, Monday will be all about economic data and auctions news, ahead of central banking decisions due this week.
Coming up today, pending homes sales are due out at 10 a.m. ET, followed by the Dallas Fed’s Texas manufacturing outlook survey at 10:30 a.m. ET.
For the day the Dow is trading at 25,451.06 with a loss of -0.30% percent or -76.01 point.The Nasdaq Composite is trading at 7,737.42 with a loss of -1.46% percent or -114.77 point. The S&P 500 is trading at 2,818.82 with a loss of -0.66% percent or -18.62 point.
Other leading market index closes included the small-cap Russell 2000 Index closed at 1,663.34 with a loss of -1.89% percent or -32.02 point; the S&P 600 Small-Cap Index closed at 1,041.30 with a loss of -1.74% percent or -18.47 point; the S&P 400 Mid-Cap Index closed at 1,975.22 with a loss of -1.11% percent or -22.22 point; the S&P 100 Index closed at 1,243.83 with a loss of -0.61% percent or -7.67 point; the Russell 3000 Index closed at1,672.00 with a loss of -0.81%percent or -13.60 point; the Russell 1000 Index closed at 1,561.99 with a loss of -0.72% percent or -11.28 point;