Russell 2000 Daily Analysis — 2026-08-14
Session: ClosingLatest
- Close
- 3,067.83
- Change
- 0.49%
- 1W Change
- 1.10%
- 20D Change
- 3.57%
- EMA20
- 3,003.67
- EMA50
- 2,957.48
- EMA200
- 2,738.29
- RSI (14)
- 63.0
- ATR (14)
- 35.40
- Volatility (20D)
- 15.47%
- Distance from 20D High
- -0.06%
- Advancers
- 7
- Decliners
- 4
- Volume
- 0
- VIX
- 14.18
- US10Y
- 4.70%
- DXY
- 99.66
Sector Leaders
The index closed modestly higher, extending its recent gains. Market breadth was positive, with advancing issues outnumbering decliners.
Market Drivers
The advance was led by energy and utility sectors, while a few large-cap gainers contributed to the positive tone. Overall sentiment remained constructive.
Trend Interpretation
The index is trading above its key short-term and long-term moving averages, indicating a bullish trend structure. Momentum is positive but not overbought.
Risk Factors
Key risks include elevated volatility and a potential pullback if momentum stalls. Also, the market's reliance on a few large gainers could signal narrow leadership.
Bullish
In a bullish scenario, the index could continue its upward trajectory, supported by broad-based participation and sustained sector leadership.
Neutral
In a neutral scenario, the index may consolidate within a range, digesting recent gains while awaiting fresh catalysts.
Risk
In a risk scenario, a deterioration in market breadth or a spike in volatility could trigger a correction toward support levels.
Session: Premarket
- Close
- 3,052.85
- Change
- 0.24%
- 1W Change
- 1.71%
- 20D Change
- 2.63%
- EMA20
- 2,996.92
- EMA50
- 2,952.97
- EMA200
- 2,735.58
- RSI (14)
- 61.1
- ATR (14)
- 36.62
- Volatility (20D)
- 15.56%
- Distance from 20D High
- -0.42%
- Advancers
- 8
- Decliners
- 3
- Volume
- 4,833,230,000
- VIX
- 14.53
- US10Y
- 4.64%
- DXY
- 99.60
Sector Leaders
The Russell 2000 is showing a modest uptick in premarket trading, with a positive tone across the broader market.
Market Drivers
Gains are led by communication services and real estate sectors, while breadth is positive with more advancers than decliners.
Trend Interpretation
The index is trading above its key moving averages, indicating a sustained uptrend with positive momentum.
Risk Factors
Potential risks include elevated volatility and a pullback from recent highs, as well as external factors like rising yields.
Bullish
In a bullish scenario, the index could continue to climb, supported by strong sector leadership and positive momentum.
Neutral
In a neutral scenario, the index may consolidate near current levels, with mixed signals and range-bound trading.
Risk
In a risk scenario, the index could face a correction if momentum fades or if external pressures intensify.
Session: Midday
- Close
- 3,062.47
- Change
- 0.32%
- 1W Change
- 0.92%
- 20D Change
- 3.38%
- EMA20
- 3,003.16
- EMA50
- 2,957.27
- EMA200
- 2,738.24
- RSI (14)
- 62.3
- ATR (14)
- 35.18
- Volatility (20D)
- 15.43%
- Distance from 20D High
- -0.14%
- Advancers
- 7
- Decliners
- 4
- Volume
- 0
- VIX
- 14.46
- US10Y
- 4.69%
- DXY
- 99.61
Sector Leaders
The Russell 2000 is showing a modest uptick in today's session, with a slight positive bias and a market breadth that leans toward advancers.
Market Drivers
The move is supported by strength in energy, utilities, and industrials sectors, while the broader market sentiment remains cautiously optimistic.
Trend Interpretation
Price action is above key short-term and long-term moving averages, indicating a sustained uptrend with positive momentum.
Risk Factors
Key risks include elevated volatility and a potential pullback from recent highs, as well as external factors such as currency and bond yield movements.
Bullish
In a bullish scenario, continued sector leadership and broadening participation could drive the index to new highs, with momentum favoring further upside.
Neutral
A neutral scenario would see the index consolidating within a range, with alternating sessions of gains and losses as investors digest recent moves.
Risk
In a risk scenario, a deterioration in market breadth or a spike in volatility could lead to a corrective phase, testing support levels below current prices.
