- Karoon Energy Ltd (KAR), which surged 5.56% or 0.11 points, closing at 2.09.
- Liontown Resources Ltd (LTR), rising 5.17% or 0.08 points to end at 1.63.
- Whitehaven Coal Ltd (WHC), gaining 4.76% or 0.31 points to 6.82 in late trade.
Australian Equities Rise: S&P/ASX 200 Climbs 0.22% at Market Close

The Australian stock market concluded Thursday's trading session on an upbeat note, with the benchmark S&P/ASX 200 index recording a modest gain.
Market Performance Overview
Australia’s leading stock index, the S&P/ASX 200, finished the day 0.22% higher, adding 15.90 points to close at 7,216.40. This positive movement was complemented by the S&P/ASX 200 VIX index, which measures market volatility, falling 1.98% to 11.876.
Sector Highlights
The day’s gains were primarily driven by strong performances in the energy and materials sectors. Notable advances were seen in stocks related to oil, gas, and mining industries, reflecting the global commodity market trends.
Top Performers
Among the best performers on the S&P/ASX 200 were:
Underperformers
The day’s weakest performers included:
- Synlait Milk Ltd (SM1), which declined 5.41% or 0.10 points to trade at 1.75.
- QBE Insurance Group Ltd (QBE), dropping 3.95% or 0.61 points to 14.83.
- Reliance Worldwide Corporation Ltd (RWC), falling 3.85% or 0.14 points to close at 3.50.
Market Breadth
The overall market sentiment was positive, with advancing stocks outnumbering declining ones on the Sydney Stock Exchange. The ratio stood at 728 to 620, with 395 ending unchanged.
Currency and Commodity Markets
In related markets, the Australian dollar showed slight weakness against its U.S. counterpart, while gold futures for June delivery saw a minor decrease. The volatility in the currency and commodity markets reflects the ongoing global economic uncertainties and their impact on investor sentiment.
Looking Ahead
As the Australian stock market continues to navigate through global economic challenges, investors will be closely monitoring international developments, domestic economic indicators, and corporate earnings reports to gauge the market’s future direction.