S&P 500 Index Stock Indices · Bonds
S&P 500 Index News
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Yahoo Finance: S&P 500 CAPE Ratio Above 40 for Three Consecutive Months, a Signal Preceding Dot-Com Bust
According to Yahoo Finance, the S&P 500's cyclically adjusted price-to-earnings (CAPE) ratio has remained above 40 for three consecutive months, a level previously seen only before the 2000 tech bubbl
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A $10,000 investment in the Vanguard S&P 500 ETF (VOO) ten years ago, with dividends reinvested, would be worth $41,688 today.
If you had invested $10,000 in the Vanguard S&P 500 ETF (VOO) ten years ago, as of September 3, 2026, that investment would now be worth $38,212; with dividends reinvested, its value would reach $41,6
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IBD raises Stock Market Exposure guide to 60%-80% from 40%-60% after strong Thursday session and Nasdaq, S&P 500 technical support confirmation.
IBD raises Stock Market Exposure guide to 60%-80% from 40%-60% after strong Thursday session and Nasdaq, S&P 500 technical support confirmation.
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Seagate and Western Digital shares soared 6.3% and 5.9% respectively on September 4, outperforming S&P 500's 0.4% decline
The gains in these AI storage stocks were attributed to investors rotating towards profitable storage infrastructure, driven by the enormous data sets generated by generative AI, which supports durabl
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S&P Dow Jones Indices: Bloom Energy, Illumina, Everpure to Join S&P 500
S&P Dow Jones Indices announced Friday that Bloom Energy Corp., Illumina Inc. and Everpure Inc. will join the S&P 500 in the latest quarterly rebalance. The three companies will replace Molson Coors B
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Interactive Brokers Chief Strategist Warns S&P 500 Investors May Have 40-45% AI Exposure, Higher Concentration Than Expected
Steve Sosnick, chief strategist at Interactive Brokers, cautions that investors in S&P 500 index funds might be more exposed to the AI trade than they realize, with an estimated 40% to 45% portfolio a
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Meridian Hedged Equity Fund noted in its Q2 2026 investor letter that Chevron (CVX) is under pressure due to high capital requirements from large-scale M&A activities and significant operational challenges in major projects.
The fund stated that while Chevron's stock price fell from nearly $220 in early April to approximately $170 by the end of June in the second quarter, its core profit engine rebounded as major assets l
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Former institutional derivatives trader Kevin Muir warns: The risk of political instability from the US midterm elections is underestimated by the market, suggesting buying S&P 500 put options to hedge while volatility is low.
In his latest "The MacroTourist" market column, Kevin Muir pointed out that the market is clearly ignoring the risk that the results of the US midterm elections could be disputed or even trigger polit
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Trader Kevin Muir suggests buying S&P 500 put options to hedge against potential market chaos from the U.S. midterm elections on November 3.
Former institutional equity-derivatives trader Kevin Muir, author of The MacroTourist column, believes that options markets are underpricing the risk of a disputed or chaotic outcome from the upcoming
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Strategy now has more Total Reserve Capital than every financial services company in the S&P 500 except Berkshire Hathaway.
Strategy now has more Total Reserve Capital than every financial services company in the S&P 500 except Berkshire Hathaway.
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Nasdaq Composite surged 2% and S&P 500 jumped 1.5% on Monday, but 30 S&P 500 stocks hit new 52-week lows while only 7 reached new highs, a divergence not seen since 1999
The S&P 500's internal divergence, where new lows outnumbered new highs, was last observed on Dec. 21, 1999, just months before the Dotcom Bubble top. Analysts note that the S&P 500's gains were led b
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MarketWatch: S&P 500 approaches all-time high, but roughly 60% of its constituent stocks are down more than 20% from their historical peaks.
MarketWatch reported on Monday that the S&P 500 Index is approaching an all-time high, but there are "cracks" within it. Approximately 60% of the index's constituent stocks have fallen more than 20% f
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DataTrek analyst notes S&P 500 companies' AI mentions stagnated since end of last year, as CEOs are wary of discussing AI with investors due to lack of immediate financial results
DataTrek co-founder Nicholas Colas, citing FactSet's analysis of Q2 earnings calls, found that while about two-thirds of S&P 500 companies mentioned AI, the number of companies discussing the technolo
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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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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.
24H Trending
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Novo Nordisk, the Danish pharmaceutical giant, saw its shares fall by 7% despite setting a $23 billion sales target for its weight-loss drug.
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XRP is testing the $1.50 resistance level, a key threshold that has capped its advances for roughly 230 days, with a break potentially leading to $1.80+
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JPMorgan CEO Dimon to Visit India This Week, Ramping Up Push for Deal Boom
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Morgan Stanley’s Wilson Says US Stocks Risk 7% Drop in Near Term
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US equity futures rise, led by AI stocks; oil prices fall over 2% to around $101; US Treasury yields decline; US and Chinese officials discuss AI national security "notification mechanism."
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Korea Zinc's $7.4 billion "Project Crucible" passes key US environmental review, accelerating Tennessee mineral smelter plans.
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Analysts say CATL is likely to maintain its dominance in China's EV battery market despite share price pressure.
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The impact of the Saudi East-West oil pipeline closure on Asian crude oil imports is becoming apparent, with South Korea being the most directly affected.
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Bloomberg Podcast: Los Angeles is becoming a US industrial tech hub, producing high-tech products such as precision metal parts and jet engines.
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A Deep Dive into the World's Top Three Bitcoin and Digital Asset Trading Platforms
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