Dow Jones Industrial Average. 41,DJI ; S&P/TSX Composite Index. 23, OSPTX ; Nasdaq 19, NDX ; Nasdaq Composite. 17,IXIC ; Russell. S&P Sectors Forward P/E Ratios · Market Cap Valuation Ratios · Market Stock Market Historical Patterns. S&P Historical Monthly & Annual Returns. Sector performance ; S&P Energy Sector, +%, %, %, +% ; S&P Materials Sector, +%, +%, +%, +%. View the full S&P Index (SPX) index overview including the latest Performance. 5 Day. %. 1 Month. %. 3 Month. %. YTD. %. 1 Year. These companies can vary across various sectors. The S&P is one of the most important indices in the world as it widely tracks how the United States stock.
IPO Performance · Ownership Search · Dividend History · Investing Lists S&P (SPX). 1D. 5D. 1M. 6M. YTD. 1Y. 5Y. MAX. Created with Highcharts Performance. YTD returns (MP). %. as of 08/23/ YTD returns (NAV). %. as of 08/23/ Product summary. Invests in stocks in the S&P Index. 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%. World markets ; Dow. United States. 41, ; S&P United States. 5, ; NASDAQ. United States. 17, ; VIX. United States. ; Russell S&P (SPX) Historical Data. 1M 6M YTD 1Y 5Y MAX. Download historical data. Date. Close/Last. Open. High. Low. 08/27/ 5, 5, 5, S&P Component Year to Date Returns ; 1, NVIDIA CORP · NVDA ; 2, VISTRA CORP · VST ; 3, SUPER MICRO COMPUTER INC · SMCI ; 4, HOWMET AEROSPACE INC · HWM. YTD. %. 1Y. %. 5Y. %. All. 31,%. Key Events. Mountain. Line ^GDAXI DAX PERFORMANCE-INDEX. 18, +%. ^FCHI CAC 7, +. NAV Total Return as of Aug 27, YTD: %; Morningstar Rating. 5 stars Exposure to the largest U.S. stocks: Seeks to track the S&P Index which is. The BMO S&P Index ETF has been designed to replicate, to the extent possible, the performance of the S&P Index, net of expenses. YTD 1M 6M 1Y. S&P Equal Weight Index. 7, USD % 1 Day. Research the YTD return for S&P companies, presented by YTD udmsar.ru
S&P Index Holdings · · +% · BLDR, Builders FirstSource Inc. ; Communication Services Holdings · 22 · % · TMUS, T-Mobile US Inc ; Consumer Discretionary. S&P Index ; Open. 5, Previous Close5, ; YTD Change. %. 12 Month Change. % ; Day Range · 52 Wk Range4, - 5, Company, Symbol, YTD Return. 1, NVIDIA CORP · NVDA, %. 2, VISTRA CORP · VST, %. 3, SUPER MICRO COMPUTER INC · SMCI, %. Realtime Prices for S&P Stocks ; Ameriprise Financial, %. ; Ametek, %. S&P YTD Performance. Interactive chart showing the YTD daily performance of the S&P stock market index. Performance is shown as the percentage gain. S&P Index | historical charts for SPX to see performance over time with comparisons to other stock exchanges. Key Stats · YTD % Change · 1 Year % Change Annual returns. So far in (YTD), the S&P index has returned an average %. Year, Return. , %. , %. , %. , %. S&P PR. Quote · Performance · Risk · Portfolio. Sponsor Center. Transparency is our policy. Learn how it impacts everything we do. Read More.
View data of the S&P , an index of the stocks of leading companies in the US economy, which provides a gauge of the U.S. equity market. The price return is calculated using the price change from the latest market close to the last trading day of S&P Sectors Forward P/E Ratios · Market Cap Valuation Ratios · Market Stock Market Historical Patterns. S&P Historical Monthly & Annual Returns. Performance. YTD returns (MP). %. as of 08/23/ YTD returns (NAV). %. as of 08/23/ Product summary. Invests in stocks in the S&P Index. S&P Index Holdings · · +% · BLDR, Builders FirstSource Inc. ; Communication Services Holdings · 22 · % · TMUS, T-Mobile US Inc ; Consumer Discretionary.
It Usually Brings a Chill for the Stock Market. Aug. 26, a.m. ET. S&P Futures Climb in Premarket Trading; Summit Therapeutics, Liberty Formula One. Highest YTD ETF Returns ; SPXL · Direxion Daily S&P Bull 3X Shares, % ; UPRO · ProShares UltraPro S&P, % ; SHNY · MicroSectors Gold 3X. YTD by S&P U.S. Broad Market. S&P Sectors. YTD. Technology S&P | GICS Sector Total Return: Consumer Discretionary: S&P Consumer. Standard and Poor's index stocks categorized by P/S. P/B. Dividend Yield. EPS Growth Past 5 Years. Float Short. Analysts Recom. Earnings Day Performance. The nominal return on investment of $ is $33,, or 33,%. This means by you would have $33, in your pocket. However, it's important to. NAV as of Aug 27, CAD 52 WK: - - · 1 Day NAV Change as of Aug 27, (%) · NAV Total Return as of Aug 27, YTD: %. The chart below breaks down the annual performance of the S&P sectors. Not only do you get an idea of how a small group of stocks affects the S&P each.
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