Price. 5, · Open Price. 5, · Day Range. 5, – 5, · Year Range. 4, – 5, · Constituent Total Market Cap. Tril. Historical Returns on Stocks, Bonds and Bills: Data Used: Multiple data services. Data: Historical Returns for the US. Date: January Year, S&P. S&P (^GSPC). Follow. 5, (%). At close: September 6 Date, Open, High, Low, Close. Close price adjusted for splits. Adj Close. Adjusted. YTD, 4 times, +% ; Week, 13 times, +% ; 2-Year, 13 times, +% ; 3-Year, 12 times, +%. Date: Edit Graph Edit Map. Chart. Combination chart Market Yield on U.S. Treasury Securities at Year Constant Maturity, Quoted on an Investment Basis.
The S&P dropped %, the Dow lost points, and the Nasdaq fell US Year Mortgage Rate Remains at Over 1-Year Low · US Crude Oil Stocks. S&P index. What Is the Year-to-Date (YTD) Return? YTD return is the amount of profit (or loss) realized by an investment since the first trading day of. S&P Index ; Open. 5, Previous Close5, ; YTD Change. %. 12 Month Change. % ; Day Range · 52 Wk Range4, - 5, 5 Day; 1 Month; 3 Month; 6 Month; YTD; 1 Year; 5 Year. 1 Day 5 Day 1 Month 3 Month 6 Month YTD 1 Year 5 Year. open accordion. S&P Index. %. S&P Note that data shown is the monthly average closing price. Returns include dividends. Year, Month, Return (%), Amount ($), CPI. , 1, %. Thus, researching Year-To-Date Returns is good practice for investors — whether YTD Return on S&P or other benchmarks/peers — and when doing so it is also. In depth view into S&P including performance, historical levels from , charts and stats. Performance returns for periods of less than one year are not annualized. Holdings and sectors shown are as of the date indicated and are subject to change. date must be less than one year old, and the fund must have at least ten securities. Business Involvement. Business Involvement. Business Involvement metrics. Basic Info. S&P 1 Year Return is at %, compared to % last month and % last year. This is higher than the long term average of %. The S&P index does not reflect dividends paid on the underlying stocks. Calculations are from the first trading day of each year. current-year value.
Since-inception returns for less than 1 year and year-to-date returns aren't annualized. Index performance is provided as a benchmark but isn't illustrative. S&P Year to Date Return for Year, Total Return, Price Return, Dividend Return. , , , Historical Returns · Component Returns. Data. Find the latest S&P (^GSPC) stock quote, history, news and other vital information to help you with your stock trading and investing. date available). The data comes from Robert Shiller's website and does For example, if you wanted to know the 1-year S&P return following the. S&P Component Year to Date Returns. #, Company, Symbol, YTD Return. 1, NVIDIA CORP · NVDA, %. 2, VISTRA CORP · VST, %. 3, HOWMET AEROSPACE INC. S&P ® Index (Index). Fund Data. Average Annual Returns (%). 1 Year: + 3 date. In such instances, and without the waiver of fees, total return. Interactive chart showing the YTD daily performance of the S&P stock market index. Performance is shown as the percentage gain from the last trading day of. Get S&P Index .SPX:INDEX) real 52 Week High Date07/16/24; 52 Week Low4,; 52 Week Low Date10/27/ Key Stats. YTD % Change; 1 Year % Change. 1 YEAR RETURN. %. YTD RETURN. %. DAY RANGE. 5,–5, 52 Explore date ranges and tickers. When you see a news icon on the chart, tap.
Date. Close/Last. Open. High. Low ; 09/05/ 5, 5, 5, 5, ; 09/04/ 5, 5, 5, 5, The S&P ® is widely regarded as the best single gauge of large-cap U.S. equities. The index includes leading companies and covers approximately 80%. US Stock Market · Stock Market Historical Trends. S&P Growth Paths · Stock Market Investment Styles. LargeCaps vs SMidCaps · Stock Market Fundamentals. S&P Sector performance ; S&P Energy Sector, %, %, %, +% ; S&P Materials Sector, %, +%, %, +%. Why the S&P Could Hit by Year End. Aug. 30, a.m. ET. Dow Gives Back Gains Ahead of Long Holiday Weekend. Aug. 30, a.m. ET.
Initial outcome periods are approximately 1-year beginning on the fund's inception date. Following the initial outcome period, each subsequent outcome. DATE, OPEN, HIGH, LOW, CLOSE. 09/06/24, , , , 09/05/24, , , , 09/04/24, , , Historical volatility measures. as of 07/31/ Benchmark, R-Squared 3, Beta 3. S&P Index Since-inception returns for less than 1 year and year-to-date. date range you specify; you'll find that the CAGR is usually about a percent or two less than the simple average. Year and Return (%).