{"id":72199,"date":"2026-09-24T16:07:13","date_gmt":"2026-09-24T20:07:13","guid":{"rendered":"https:\/\/www2.stockmarketwatch.com\/stock-market-news\/tech-and-retail-giants-under-the-microscope-market-flat-ahead-of-key-earnings\/72199\/"},"modified":"2026-09-24T16:07:13","modified_gmt":"2026-09-24T20:07:13","slug":"tech-and-retail-giants-under-the-microscope-market-flat-ahead-of-key-earnings","status":"publish","type":"post","link":"https:\/\/www2.stockmarketwatch.com\/stock-market-news\/tech-and-retail-giants-under-the-microscope-market-flat-ahead-of-key-earnings\/72199\/","title":{"rendered":"Tech and Retail Giants Under the Microscope: Market Flat Ahead of Key Earnings"},"content":{"rendered":"<p>The U.S. stock market experienced a day of cautious consolidation on Thursday, September 24th, 2026, as investors balanced optimistic economic data against the anticipation of major corporate earnings reports scheduled for after the closing bell. Trading remained relatively tight throughout the session, with major indexes showing minor fractional declines as the market digested recent gains and looked for the next catalyst.<\/p>\n<h2>Major Index Performance<\/h2>\n<p>The broader market saw a slight pullback, though volatility remained contained. The <a href=\"https:\/\/stockmarketwatch.com\/indices\/sp500\/today\" data-internallinksmanager029f6b8e52c=\"3\" title=\"snp500 today\">S&amp;P 500<\/a> ETF Trust (<a href=\"\/stock\/SPY\">SPY<\/a>) edged lower by 0.08%, while the <a href=\"https:\/\/stockmarketwatch.com\/indices\/dowjones\/today\" data-internallinksmanager029f6b8e52c=\"1\" title=\"Dow Jones Today\">Dow Jones<\/a> Industrial Average ETF Trust (<a href=\"\/stock\/DIA\">DIA<\/a>) showed a similar modest decline of 0.06%. The tech-heavy Invesco QQQ Trust (<a href=\"\/stock\/QQQ\">QQQ<\/a>), which tracks the Nasdaq-100, underperformed slightly with a 0.13% drop, reflecting some profit-taking in the semiconductor and software sectors. Small-cap stocks, represented by the iShares Russell 2000 ETF (<a href=\"\/stock\/IWM\">IWM<\/a>), were nearly flat, finishing down just 0.02%.<\/p>\n<p>In the fixed-income market, Treasury yields saw a slight uptick, putting pressure on bond prices. The iShares 20+ Year Treasury Bond ETF (<a href=\"\/stock\/TLT\">TLT<\/a>) fell 0.15%, while the 7-10 Year Treasury Bond ETF (<a href=\"\/stock\/IEF\">IEF<\/a>) declined 0.07%. This movement comes as traders continue to evaluate the Federal Reserve&#39;s long-term interest rate trajectory amid stabilizing inflation figures.<\/p>\n<h2>Corporate News and Sector Highlights<\/h2>\n<p>The technology sector saw significant activity, particularly within the semiconductor space. <a href=\"https:\/\/stockmarketwatch.com\/stock\/MU\" data-internallinksmanager029f6b8e52c=\"20\" title=\"Stock: MU\">Micron<\/a> Technology (<a href=\"\/stock\/MU\">MU<\/a>) saw its stock price slide 2.1% during the session, even as the company prepares for its highly anticipated earnings release next week. Oracle Corp (<a href=\"\/stock\/ORCL\">ORCL<\/a>) also faced selling pressure, dropping 5.4% on high volume. Conversely, Meta Platforms (<a href=\"\/stock\/META\">META<\/a>) remained a point of stability, finishing the day up 0.1% as it continues to benefit from robust digital advertising trends.<\/p>\n<p>In the biotech and pharmaceutical space, Apimeds Pharmaceuticals US, Inc. (<a href=\"\/stock\/APUS\">APUS<\/a>) was the standout performer of the day, skyrocketing 204.1% on massive volume following positive clinical developments. Surrozen, Inc. (<a href=\"\/stock\/SRZN\">SRZN<\/a>) also posted impressive gains, rising 89.3%.<\/p>\n<p>Sector-wise, defensive and niche themes outperformed. The Defiance Quantum ETF (<a href=\"\/stock\/QTUM\">QTUM<\/a>) rose 0.9%, and the Global X <a href=\"https:\/\/stockmarketwatch.com\/metal\/uranium\" data-internallinksmanager029f6b8e52c=\"13\" title=\"Uranium\">Uranium<\/a> ETF (<a href=\"\/stock\/URA\">URA<\/a>) climbed 0.52%. Traditional defensive sectors like Utilities (<a href=\"\/stock\/XLU\">XLU<\/a>) and Consumer Staples (<a href=\"\/stock\/XLP\">XLP<\/a>) both managed 0.08% gains, as investors rotated slightly away from high-growth tech.<\/p>\n<h2>Upcoming Events and Earnings After the Close<\/h2>\n<p>All eyes are now turning to the after-hours session, which features two &quot;bellwether&quot; earnings reports that could dictate the market&#39;s direction for the remainder of the week. Costco Wholesale Corp (<a href=\"\/stock\/COST\">COST<\/a>) is set to report its Q4 2026 results. Analysts are looking for an EPS of $6.56, with particular focus on membership renewal rates and any potential announcements regarding special dividends.<\/p>\n<p>Additionally, Nike, Inc. (<a href=\"\/stock\/NKE\">NKE<\/a>) will release its Q1 2027 earnings. The retail giant is expected to report an EPS of $0.45. Investors will be scrutinizing Nike&#39;s direct-to-consumer sales figures and inventory management in the Greater China region.<\/p>\n<p>Looking ahead to next week, the market is bracing for more high-impact data. Carnival Corporation Ltd. (<a href=\"\/stock\/CCL\">CCL<\/a>) reports on Monday, followed by Paychex Inc (<a href=\"\/stock\/PAYX\">PAYX<\/a>) and a massive report from Micron Technology (<a href=\"\/stock\/MU\">MU<\/a>) on Tuesday. On the economic front, traders are awaiting the latest PCE price index data\u2014the Federal Reserve&#39;s preferred inflation gauge\u2014which is expected to play a critical role in the FOMC&#39;s upcoming policy discussions.<\/p>\n","protected":false},"excerpt":{"rendered":"<p>The U.S. stock market experienced a day of cautious consolidation on Thursday, September 24th, 2026, as investors balanced optimistic economic 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