S&P 500 Index Stock Indices · Bonds
S&P 500 Index News
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Analysts warn of S&P 500 September volatility despite historical gains, citing Fed hawkishness and market complacency
The S&P 500 has remained within 2% of its record high above 7,800 throughout August, with year-to-date gains of 12.72%. While September typically sees stock weakness, Carson Group's Ryan Detrick notes
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Hypothetical S&P 500 Strategy Turns $100,000 Into $12.7 Million in 8 Months
A hypothetical investment strategy, involving investing $100,000 in January into the S&P 500's top-performing stock and re-investing monthly into each subsequent month's best performer, would have yie
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Warren Buffett warns investors: A "casino" mentality is prevalent in the current stock market, many stocks may be overvalued, and the S&P 500 Shiller CAPE ratio has once again surpassed 40.
Warren Buffett, CEO of Berkshire Hathaway, noted in an interview earlier this year that there is a "casino" mentality in the current market, and that short-term risk-taking is not investing but gambli
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Goldman Sachs Trading Desk: Gold's 10% Rally This Month May Slow, But "Currency Debasement Trade" Is Far From Over
Goldman Sachs derivatives strategist Brian Garrett noted in his latest report that gold's 10% gain this month marks one of its best monthly performances in decades. Market attention to the "currency d
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Tariff refunds combined with the AI boom propelled S&P 500 companies' Q2 profits to a five-year high, surging 53% year-over-year.
According to LSEG data, S&P 500 component companies saw a 53% year-over-year surge in second-quarter earnings per share and nearly 16% revenue growth, marking the strongest pace since the fall of 2021
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Wall Street's momentum trading strategies have suddenly unraveled, with the S&P 500 Momentum Index falling over 9% since July, facing its worst quarterly performance in 25 years.
The Wall Street Journal reported on August 30 that the once-popular "momentum trading" strategy (buying rising stocks and shorting falling stocks) has fallen by over 9% since July 1, after a strong pe
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WSJ Column Warns S&P 500's Record Options Volume, Rising Margin Debt Echo 1907 Crash Signals
A Wall Street Journal column argues that the current trading frenzy, marked by high leverage and speculative trading, closely resembles the market conditions leading up to the Panic of 1907. The S&P 5
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Analysis indicates that the S&P 500 index continues to hit new highs, but nearly 80% of its market capitalization growth since July 13 has been contributed by Microsoft and NVIDIA.
According to Yahoo Finance, citing Bespoke Investment Group analysis, the S&P 500's market capitalization has increased by $1.75 trillion since the Q2 earnings season began on July 13, with nearly 80%
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Carson Group strategist Ryan Detrick believes that although September is typically the worst-performing month for U.S. stocks, the market conditions entering September this year are distinctly different from historical periods of poor performance.
Detrick pointed out that the S&P 500 index has risen by 12.82% year-to-date, the VIX was at a low of 14.51 on August 27, and nearly 70% of S&P 500 components were above their 200-day moving average, i
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Yahoo Finance Analysis: Historical data shows that all bear markets share a common characteristic: they are always followed by longer, higher-returning bull markets.
A Yahoo Finance analysis suggests that despite growing concerns about a bear market, such as the "Buffett Indicator" signaling overvaluation and the American Association of Individual Investors report
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Lookonchain: Trader 0x3bca's $7.19M short on SP500 was fully liquidated as market rebounded
Lookonchain: Trader 0x3bca's $7.19M short on SP500 was fully liquidated as market rebounded
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S&P 500 could still advance after a Fed hike, according to a Jefferies strategist
A Jefferies strategist believes the S&P 500 is poised to advance, citing expectations for a less aggressive tightening cycle by the Federal Reserve and strong earnings. The investment bank expects the
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JPMorgan Chase Global Macro Conference Minutes: Expect "simultaneous rise" in equity and bond yields, S&P 500 year-end target set at 8,000 points
JPMorgan Chase's Strategic Research Department's meeting minutes indicated that one of the core signals from the conference was the potential for both equities and U.S. Treasury yields to rise simulta
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"New Bond King" Jeffrey Gundlach warns that the next 6-9 months will be a high-risk period for markets, stating he has zeroed out his AI exposure and recommends a full defensive posture.
"New Bond King" Jeffrey Gundlach recently stated that the market has "crossed into the difficult side" and anticipates the next 6 to 9 months will be a high-risk period, advising investors to shift en
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CNBC analyst Mike Khouw: The communication services sector has outperformed the S&P 500 by over 5% this quarter, suggesting a long position via options strategies.
The sector is still lagging the S&P 500 by over 14% year-to-date, but has recently begun to recover lost ground, with its ETF (XLC) bouncing twice from the $105 level in recent months. Khouw recommend
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Wall Street bull Ed Yardeni slashes S&P 500 year-end target to 7,900 from 8,400
Yardeni cited rising bond yields and increased downturn risks over the next 3–6 months as reasons for the cut. He also lowered his expected forward P/E multiple to 18.6 from 19.8. Despite the near-ter
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J.B. Hunt Shares Crater 11% After CFO Warns of Impending Earnings Decline
J.B. Hunt (JBHT) shares plummeted 11% on Wednesday morning, making it the worst-performing stock on the S&P 500. CFO Brad Delco had warned of an impending earnings decline at a Morgan Stanley conferen
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Ed Yardeni Cuts S&P 500 View to 7,900 on Downturn Risks
Ed Yardeni, a prominent Wall Street bull, is slashing his year-end forecast for the S&P 500 Index to 7,900, citing increasing risks of a downturn in the next three to six months. This adjustment comes
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Yahoo Finance Analysis: Stocks combining strong upward trends with bullish sentiment show higher returns over the next month.
The analyst studied the 30 stocks with the strongest upward trends over the past three months, using data going back to 2024. The results showed that these stocks had an average return of 2.15% in the
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Jefferies warns against fighting the earnings cycle, expects S&P 500 to rise to 8,000 by end of 2026 and hit 9,000 in 2027.
Jefferies, in its latest research report on September 14, stated that Wall Street might be significantly underestimating the explosive power of the current earnings cycle. Driven by the dual engines o
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S&P 500 Index Summary
Widely regarded as one of the best gauges of large-cap U.S. equities, the S&P 500 is a primary benchmark for the health of the U.S. stock market and the broader economy. Its performance is influenced by a range of macroeconomic factors, including corporate earnings reports, Federal Reserve monetary policy (such as interest rate changes), key economic data like GDP growth, inflation rates, and employment figures, as well as significant geopolitical events. Institutional and retail investors worldwide use it to track market trends and benchmark their own portfolio performance.
For participants in the digital asset space, the S&P 500 serves as a crucial barometer of broader market risk sentiment. In recent years, a notable correlation has often been observed between the performance of the SPX and major cryptocurrencies like Bitcoin. When the S&P 500 rises, it typically signals a 'risk-on' environment where investors are more willing to allocate capital to higher-growth assets, including crypto. Conversely, a downturn in the index can indicate a 'risk-off' sentiment, potentially leading to capital outflows from the crypto market as investors seek safer havens.
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