Daily market insight — 2026-09-23
Uptrend under pressure; 1 stock reported quarterly results
Conditions moved from a correction to an uptrend under pressure. The S&P 500 fell 0.8% and the Nasdaq fell 1.1% and the Dow Jones fell 0.7% on the day. Heavy-volume down days in the tracked window fell from 6 to 5. 1 stock reported quarterly results. 82 stocks crossed a zone boundary. 10 stocks traded on unusual volume. 10 stocks had a pattern take shape or change state. 1 stock saw a sharp money-flow shift. This is a description of what happened, not a suggestion about what to do.
Market
Conditions moved from a correction to an uptrend under pressure. The S&P 500 fell 0.8% and the Nasdaq fell 1.1% and the Dow Jones fell 0.7% on the day. Heavy-volume down days in the tracked window fell from 6 to 5.
Price zone events
82 stocks crossed a zone boundary. Showing the 5 largest moves.
- GOOGL moved into its historical resistance zone (range position 1.00, from 0.09).
- BLK moved into its historical resistance zone (range position 1.00, from 0.11).
- TXN moved into its historical support zone (range position 0.01, from 0.96).
- PAYX moved into its historical support zone (range position 0.01, from 0.70).
- WTW moved into its historical resistance zone (range position 0.98, from 0.07).
Volume anomalies
10 stocks traded on unusual volume. Showing the 5 largest moves.
- MCD traded 3.3× its 20-session average volume on a down day (-4.8%).
- RCL traded 3.3× its 20-session average volume on a down day (-2.0%).
- WBD traded 3.2× its 20-session average volume on a down day (-0.2%).
- ABNB traded 3.1× its 20-session average volume on a down day (-7.6%).
- PAYX traded 2.9× its 20-session average volume on a down day (-8.8%).
Pattern events
10 stocks had a pattern take shape or change state. Showing the 5 largest moves.
- CHTR: held twice at the same low (double bottom).
- HRL: held twice at the same low (double bottom).
- FE: held three times at the same low (triple bottom).
- HIG: held twice at the same low (double bottom).
- PANW: turned back twice at the same high (double top).
Money flow shifts
1 stock saw a sharp money-flow shift.
- BMY's money-flow reading moved to -0.08 from +0.03, a one-day shift toward distribution.
Earnings
1 stock reported results. 2 reports are due within the next few sessions.
- AZO reported: EPS $0.56 vs $0.54 expected (+3.6%); the stock moved -1.8% within the middle of its range on 1.8× average volume.
- COST reports Thursday, Sep 24.
- DRI reports Thursday, Sep 24.
Rates context
Where near-riskless yields ended the day — the baseline that riskier returns are measured against, shown for context only.
3-month Treasury bill stood at 4.16%, down 0.01 percentage points on the day.
1-year Treasury stood at 4.43%, down 0.02 percentage points on the day.
10-year Treasury stood at 4.96%, unchanged on the day.
12-month CD, national average stood at 1.73%, up 0.02 percentage points versus the prior monthly reading.
每日市场洞察
上升趋势承压;1 只股票公布了季度业绩
市场状态从回调转为承压的上升趋势。当日,标普 500下跌 0.8%,纳斯达克下跌 1.1%,道琼斯下跌 0.7%。统计窗口内的放量下跌日从 6 个减少到 5 个。1 只股票公布了季度业绩。82 只股票越过了区间边界。10 只股票出现异常成交量。10 只股票有形态开始形成或状态发生变化。1 只股票资金流出现明显变化。以上描述的是已经发生的事,并非对该做什么的建议。
市场状态从回调转为承压的上升趋势。当日,标普 500下跌 0.8%,纳斯达克下跌 1.1%,道琼斯下跌 0.7%。统计窗口内的放量下跌日从 6 个减少到 5 个。
价格区间事件
82 只股票越过了区间边界。这里显示变动最大的 5 只。
- GOOGL 进入其历史阻力区(区间位置 1.00,此前为 0.09)。
- BLK 进入其历史阻力区(区间位置 1.00,此前为 0.11)。
- TXN 进入其历史支撑区(区间位置 0.01,此前为 0.96)。
- PAYX 进入其历史支撑区(区间位置 0.01,此前为 0.70)。
- WTW 进入其历史阻力区(区间位置 0.98,此前为 0.07)。
成交量异常
10 只股票出现异常成交量。这里显示变动最大的 5 只。
- MCD 在一个下跌日(-4.8%)成交量达到 20 日均量的 3.3×。
- RCL 在一个下跌日(-2.0%)成交量达到 20 日均量的 3.3×。
- WBD 在一个下跌日(-0.2%)成交量达到 20 日均量的 3.2×。
- ABNB 在一个下跌日(-7.6%)成交量达到 20 日均量的 3.1×。
- PAYX 在一个下跌日(-8.8%)成交量达到 20 日均量的 2.9×。
形态事件
10 只股票有形态开始形成或状态发生变化。这里显示变动最大的 5 只。
- CHTR:Held twice at the same low(双底)。
- HRL:Held twice at the same low(双底)。
- FE:Held three times at the same low(三重底)。
- HIG:Held twice at the same low(双底)。
- PANW:Turned back twice at the same high(双顶)。
资金流向变化
1 只股票资金流出现明显变化。
- BMY 的资金流读数从 +0.03 变为 -0.08,单日之内朝派发方向移动。
财报
1 只股票公布了业绩。未来几个交易日内还有 2 份财报待公布。
- AZO 公布业绩:每股收益 $0.56,市场预期 $0.54(+3.6%);股价变动 -1.8%,处于区间中部,成交量为均量的 1.8×。
- COST 将于周四(9月24日)公布业绩。
- DRI 将于周四(9月24日)公布业绩。
利率背景
接近无风险的收益率在本日的落点——它是衡量更高风险回报的参照基准,仅作背景说明。
3 个月期美国国债报 4.16%,较前一交易日下降 0.01 个百分点。
1 年期美国国债报 4.43%,较前一交易日下降 0.02 个百分点。
10 年期美国国债报 4.96%,较前一交易日持平。
12 个月定期存单,全国平均报 1.73%,较上月读数上升 0.02 个百分点。
UnderTheLight 用直白的语言解释股票——估值、价格区间与资金流向。它只描述数据,不构成任何投资建议。
UnderTheLight explains stocks in plain English — valuation, price zones and money flow as traffic lights, recomputed nightly. It describes data; it is not investment advice and never recommends a trade.