Monday’s Biggest Winners and Losers in the S&P 500

May 14, 2018 by Chris Lange

Source: Thinkstock
May 14, 2018: The S&P 500 closed flat at 2,730.40. The DJIA closed up 0.3% at 24,902.65. Separately, the Nasdaq was flat at 7,411.32.

Monday was a slightly positive day for the broad U.S. markets. Crude oil started the week out with a gain as it continues to stabilize above the $70 price level. The S&P 500 sectors were more or less split down the middle. The most positive sectors were energy and health care up 0.7% and 0.6%, respectively. The worst performing sectors were real estate and utilities down 0.7% and 0.4%, respectively.

Crude oil was up 0.6% at $71.10.

Gold was down 0.5% at $1,314.20.

The S&P 500 stock posting the largest daily percentage loss ahead of the close Monday was Mattel, Inc. (NASDAQ: MAT) which traded down over 4% at $14.19. The stock’s 52-week range is $12.21 to $23.12. Volume was 2.9 million compared to the daily average volume of 5.8 million.

The stock posting the largest daily percentage gain in the S&P 500 ahead of the close Monday was Symantec Corp. (NASDAQ: SYMC) which rose about 9.5% to $21.40. The stock’s 52-week range is $18.85 to $34.20. Volume was 53 million compared to the daily average volume of nearly 7 million.

Sponsored: Attention Savvy Investors: Speak to 3 Financial Experts – FREE

Ever wanted an extra set of eyes on an investment you’re considering? Now you can speak with up to 3 financial experts in your area for FREE. By simply
clicking here
you can begin to match with financial professionals who can help guide you through the financial decisions you’re making. And the best part? The first conversation with them is free.


Click here
to match with up to 3 financial pros who would be excited to help you make financial decisions.