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France's main stock market index, the FR40, rose to 8121 points on December 2, 2025, gaining 0.29% from the previous session. Over the past month, the index has climbed 0.13% and is up 11.93% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from France. France Stock Market Index (FR40) - values, historical data, forecasts and news - updated on December of 2025.
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TwitterWhile the global coronavirus (COVID-19) pandemic caused all major stock market indices to fall sharply in March 2020, both the extent of the decline at this time, and the shape of the subsequent recovery, have varied greatly. For example, on March 15, 2020, major European markets and traditional stocks in the United States had shed around ** percent of their value compared to January *, 2020. However, Asian markets and the NASDAQ Composite Index only shed around ** to ** percent of their value. A similar story can be seen with the post-coronavirus recovery. As of November 14, 2021 the NASDAQ composite index value was around ** percent higher than in January 2020, while most other markets were only between ** and ** percent higher. Why did the NASDAQ recover the quickest? Based in New York City, the NASDAQ is famously considered a proxy for the technology industry as many of the world’s largest technology industries choose to list there. And it just so happens that technology was the sector to perform the best during the coronavirus pandemic. Accordingly, many of the largest companies who benefitted the most from the pandemic such as Amazon, PayPal and Netflix, are listed on the NADSAQ, helping it to recover the fastest of the major stock exchanges worldwide. Which markets suffered the most? The energy sector was the worst hit by the global COVID-19 pandemic. In particular, oil companies share prices suffered large declines over 2020 as demand for oil plummeted while workers found themselves no longer needing to commute, and the tourism industry ground to a halt. In addition, overall share prices in two major stock exchanges – the London Stock Exchange (as represented by the FTSE 100 index) and Hong Kong (as represented by the Hang Seng index) – have notably recovered slower than other major exchanges. However, in both these, the underlying issue behind the slower recovery likely has more to do with political events unrelated to the coronavirus than it does with the pandemic – namely Brexit and general political unrest, respectively.
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China's main stock market index, the SHANGHAI, fell to 3898 points on December 2, 2025, losing 0.42% from the previous session. Over the past month, the index has declined 1.98%, though it remains 15.36% higher than a year ago, according to trading on a contract for difference (CFD) that tracks this benchmark index from China. China Shanghai Composite Stock Market Index - values, historical data, forecasts and news - updated on December of 2025.
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Spain's main stock market index, the ES35, rose to 16493 points on December 2, 2025, gaining 0.63% from the previous session. Over the past month, the index has climbed 2.84% and is up 38.90% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from Spain. Spain Stock Market Index (ES35) - values, historical data, forecasts and news - updated on December of 2025.
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View data of the S&P 500, an index of the stocks of 500 leading companies in the US economy, which provides a gauge of the U.S. equity market.
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The "Stock Market Dataset for AI-Driven Prediction and Trading Strategy Optimization" is designed to simulate real-world stock market data for training and evaluating machine learning models. This dataset includes a combination of technical indicators, market metrics, sentiment scores, and macroeconomic factors, providing a comprehensive foundation for developing and testing AI models for stock price prediction and trading strategy optimization.
Key Features Market Metrics:
Open, High, Low, Close Prices: Daily stock price movement. Volume: Represents the trading activity during the day. Technical Indicators:
RSI (Relative Strength Index): A momentum oscillator to measure the speed and change of price movements. MACD (Moving Average Convergence Divergence): An indicator to reveal changes in strength, direction, momentum, and duration of a trend. Bollinger Bands: Upper and lower bands around a stock price to measure volatility. Sentiment Analysis:
Sentiment Score: Simulated sentiment derived from financial news and social media, ranging from -1 (negative) to 1 (positive). Macroeconomic Factors:
GDP Growth: Indicates the overall health and growth of the economy. Inflation Rate: Reflects changes in purchasing power and economic stability. Target Variable:
Buy/Sell Signal: Binary classification (1 = Buy, 0 = Sell) based on price movement thresholds, simulating actionable trading decisions. Use Cases AI Model Training: Ideal for building stock prediction models using LSTM, Gradient Boosting, Random Forest, etc. Trading Strategy Optimization: Enables testing of trading algorithms and strategies in a simulated environment. Sentiment Analysis Research: Useful for understanding how sentiment influences stock movements. Feature Engineering and Selection: Provides a diverse set of features for experimentation with advanced techniques like PCA and LDA. Dataset Highlights Synthetic Yet Realistic: Carefully designed to mimic real-world financial data trends and relationships. Comprehensive Coverage: Includes key indicators and metrics used by traders and analysts. Scalable: Suitable for use in both small-scale academic projects and larger AI-driven trading platforms. Accessible for All Levels: The intuitive structure ensures that even beginners can utilize this dataset for financial machine learning applications. File Format The dataset is provided in CSV format, where:
Rows represent individual trading days. Columns represent features (technical indicators, market metrics, etc.) and the target variable. Acknowledgments This dataset is synthetically generated and is intended for research and educational purposes. It is not based on real market data and should not be used for actual trading.
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Ireland Market Capitalization: Irish Stock Exchange: Equity: Main Securities Market data was reported at 104,494.470 EUR mn in Oct 2018. This records a decrease from the previous number of 110,891.130 EUR mn for Sep 2018. Ireland Market Capitalization: Irish Stock Exchange: Equity: Main Securities Market data is updated monthly, averaging 72,786.020 EUR mn from Dec 2000 (Median) to Oct 2018, with 215 observations. The data reached an all-time high of 127,503.090 EUR mn in May 2007 and a record low of 27,771.470 EUR mn in Feb 2009. Ireland Market Capitalization: Irish Stock Exchange: Equity: Main Securities Market data remains active status in CEIC and is reported by Irish Stock Exchange. The data is categorized under Global Database’s Ireland – Table IE.Z002: Irish Stock Exchange: Market Capitalization. The Irish Stock Exchange (ISE) renamed this securities market with effect from May 2010. The old name was Official List and it has been changed to Main Securities Market (MSM).
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Use our Stock prices dataset to access comprehensive financial and corporate data, including company profiles, stock prices, market capitalization, revenue, and key performance metrics. This dataset is tailored for financial analysts, investors, and researchers to analyze market trends and evaluate company performance.
Popular use cases include investment research, competitor benchmarking, and trend forecasting. Leverage this dataset to make informed financial decisions, identify growth opportunities, and gain a deeper understanding of the business landscape. The dataset includes all major data points: company name, company ID, summary, stock ticker, earnings date, closing price, previous close, opening price, and much more.
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Euro Area's main stock market index, the EU50, rose to 5684 points on December 2, 2025, gaining 0.27% from the previous session. Over the past month, the index has climbed 0.09% and is up 16.52% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from Euro Area. Euro Area Stock Market Index (EU50) - values, historical data, forecasts and news - updated on December of 2025.
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Poland Market Capitalization: WSE: Main Market: Finance: Mortgage data was reported at 4,798.260 PLN mn in Oct 2018. This records a decrease from the previous number of 5,131.070 PLN mn for Sep 2018. Poland Market Capitalization: WSE: Main Market: Finance: Mortgage data is updated monthly, averaging 6,250.815 PLN mn from Jan 2017 (Median) to Oct 2018, with 22 observations. The data reached an all-time high of 9,569.010 PLN mn in Aug 2017 and a record low of 4,798.260 PLN mn in Oct 2018. Poland Market Capitalization: WSE: Main Market: Finance: Mortgage data remains active status in CEIC and is reported by Warsaw Stock Exchange. The data is categorized under Global Database’s Poland – Table PL.Z003: Warsaw Stock Exchange: Market Capitalization.
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Graph and download economic data for Financial Market: Share Prices for Italy (SPASTT01ITQ661N) from Q1 1957 to Q3 2025 about Italy and stock market.
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TwitterWith a market capitalization of approximately 54 billion euros as of the end of Februrary 2023, the largest company on the Milan Stock Exchange was Enel, the world’s second largest electricity company. This is followed by Stellantis, with a market capitalization of over 53 billion euros. Italy’s most recognizable companies Italy is home to some of the most recognizable brands in the world. One of the largest companies on the Milan Stock Exchange is the luxury carmaker Ferrari – although high share price is perhaps based more on their brand identity than their underlying sales, given Ferrari’s global revenue is many times lower than the revenue of the world’s largest car manufacturers. Also among Italy’s largest companies is drinks manufacturer Campari. Aside from their titular liqueur, Campari’s brands also include well-known alcoholic drinks like Frangelico, Grand Marnier and Wild Turkey. The Milan Stock Exchange Otherwise known as the Borsa Italiana, the Milan Stock Exchange was recently acquired by Euronext, who are the fourth largest stock exchange operator in the world. Taken alone, the listed companies on the Borsa Italiana have a total market capitalization of around 607.3 billion euros. Two main markets comprise the Borsa Italiana:
the Mercato Telematico Azionario (MTA), which is the segment for mid- and large-size companies; and the AIM Italia, which was established in 2009 to cater for high growth small and medium enterprises needing more flexibility around the reporting and governance requirements.
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TwitterTechsalerator offers an extensive dataset of End-of-Day Pricing Data for all 93 companies listed on the Bucharest Stock Exchange* (XBSE) in Romania. This dataset includes the closing prices of equities (stocks), bonds, and indices at the end of each trading session. End-of-day prices are vital pieces of market data that are widely used by investors, traders, and financial institutions to monitor the performance and value of these assets over time.
Top 5 used data fields in the End-of-Day Pricing Dataset for Romania:
Equity Closing Price :The closing price of individual company stocks at the end of the trading day.This field provides insights into the final price at which market participants were willing to buy or sell shares of a specific company.
Bond Closing Price: The closing price of various fixed-income securities, including government bonds, corporate bonds, and municipal bonds. Bond investors use this field to assess the current market value of their bond holdings.
Index Closing Price: The closing value of market indices, such as the Botswana stock market index, at the end of the trading day. These indices track the overall market performance and direction.
Equity Ticker Symbol: The unique symbol used to identify individual company stocks. Ticker symbols facilitate efficient trading and data retrieval.
Date of Closing Price: The specific trading day for which the closing price is provided. This date is essential for historical analysis and trend monitoring.
Top 5 financial instruments with End-of-Day Pricing Data in Romania:
Bucharest Stock Exchange Domestic Company Index: The main index that tracks the performance of domestic companies listed on the Bucharest Stock Exchange. This index provides an overview of the overall market performance in Romania.
Bucharest Stock Exchange Foreign Company Index: The index that tracks the performance of foreign companies listed on the Bucharest Stock Exchange. This index reflects the performance of international companies operating in Romania.
Company A: A prominent Romanian company with diversified operations across various sectors, such as manufacturing, technology, or finance. This company's stock is widely traded on the Bucharest Stock Exchange.
Company B: A leading financial institution in Romania, offering banking, insurance, or investment services. This company's stock is actively traded on the Bucharest Stock Exchange.
Company C: A major player in the Romanian energy or consumer goods sector, involved in the production and distribution of related products. This company's stock is listed and actively traded on the Bucharest Stock Exchange.
If you're interested in accessing Techsalerator's End-of-Day Pricing Data for Romania, please contact info@techsalerator.com with your specific requirements. Techsalerator will provide you with a customized quote based on the number of data fields and records you need. The dataset can be delivered within 24 hours, and ongoing access options can be discussed if needed.
Data fields included:
Equity Ticker Symbol Equity Closing Price Bond Ticker Symbol Bond Closing Price Index Ticker Symbol Index Closing Price Date of Closing Price Equity Name Equity Volume Equity High Price Equity Low Price Equity Open Price Bond Name Bond Coupon Rate Bond Maturity Index Name Index Change Index Percent Change Exchange Currency Total Market Capitalization Dividend Yield Price-to-Earnings Ratio (P/E)
Q&A:
The cost of this dataset may vary depending on factors such as the number of data fields, the frequency of updates, and the total records count. For precise pricing details, it is recommended to directly consult with a Techsalerator Data specialist.
Techsalerator provides comprehensive coverage of End-of-Day Pricing Data for various financial instruments, including equities, bonds, and indices. Thedataset encompasses major companies and securities traded on Romania exchanges.
Techsalerator collects End-of-Day Pricing Data from reliable sources, including stock exchanges, financial news outlets, and other market data providers. Data is carefully curated to ensure accuracy and reliability.
Techsalerator offers the flexibility to select specific financial instruments, such as equities, bonds, or indices, depending on your needs. While the dataset focuses on Botswana, Techsalerator also provides data for other countries and international markets.
Techsalerator accepts various payment methods, including credit cards, direct transfers, ACH,...
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Poland Market Capitalization: WSE: Main Market: Consumer Goods: Food and Drinks data was reported at 15,241.140 PLN mn in Oct 2018. This records a decrease from the previous number of 15,492.130 PLN mn for Sep 2018. Poland Market Capitalization: WSE: Main Market: Consumer Goods: Food and Drinks data is updated monthly, averaging 18,613.580 PLN mn from Jan 2017 (Median) to Oct 2018, with 22 observations. The data reached an all-time high of 23,065.380 PLN mn in Jan 2017 and a record low of 15,241.140 PLN mn in Oct 2018. Poland Market Capitalization: WSE: Main Market: Consumer Goods: Food and Drinks data remains active status in CEIC and is reported by Warsaw Stock Exchange. The data is categorized under Global Database’s Poland – Table PL.Z003: Warsaw Stock Exchange: Market Capitalization.
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Stock market index in Mexico, September, 2025 The most recent value is 139.61 points as of September 2025, an increase compared to the previous value of 132.58 points. Historically, the average for Mexico from January 1970 to September 2025 is 36.41 points. The minimum of 0 points was recorded in January 1970, while the maximum of 139.61 points was reached in September 2025. | TheGlobalEconomy.com
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Global Stock Market Financial Dataset (from TradingView)
This collection provides a comprehensive snapshot of over 11,800 publicly traded companies worldwide. It combines multiple financial statements and performance indicators extracted from TradingView to support data analysis, stock screening, and financial modeling.
Files Overview
1.tradingview_all_stocks.csv Contains general stock information and market statistics.
Columns: ticker, name, close, change, change_abs, volume, market_cap_basic, price_earnings_ttm, sector, industry Size: 11,806 rows × 10 columns Description: Lists all active stocks with latest prices, PE ratios, and sector/industry classifications.
2.tradingview_performance.csv Tracks short- and long-term stock performance.
Columns (sample): ticker, name, close, Perf.W, Perf.1M, Perf.3M, Perf.6M, Perf.YTD, Perf.1Y, Perf.5Y, etc. Size: 11,814 rows × 17 columns Description: Shows relative percentage performance across multiple timeframes.
3.balance_sheet.csv Summarizes financial position and liquidity metrics.
Columns: total_assets_fq, cash_n_short_term_invest_fq, total_liabilities_fq, total_debt_fq, net_debt_fq, total_equity_fq, current_ratio_fq Size: 11,821 rows × 12 columns Description: Includes key balance sheet values, enabling leverage and liquidity analysis.
4.cashflow.csv Focuses on company cash generation and sustainability.
Columns: free_cash_flow_ttm Size: 11,821 rows × 4 columns Description: Provides trailing twelve-month free cash flow figures for profitability evaluation.
5.dividends.csv Details dividend-related statistics.
Columns: dividends_yield, dividend_payout_ratio_ttm Size: 11,823 rows × 5 columns Description: Useful for income-focused investors; includes dividend yields and payout ratios.
6.income_statement.csv Presents company earnings metrics.
Columns: total_revenue_ttm, gross_profit_ttm, net_income_ttm, ebitda_ttm Size: 11,821 rows × 7 columns Description: Captures profitability over the last 12 months for revenue and margin analysis.
7.profitability.csv Shows margin-based performance indicators.
Columns: gross_margin_ttm, operating_margin_ttm, net_margin_ttm, ebitda_margin_ttm Size: 11,823 rows × 7 columns Description: Enables efficiency and operational performance comparisons across companies.
Use Cases 1. Stock market and financial analysis 2. Portfolio optimization and factor modeling 3. Machine learning for price prediction 4. Company benchmarking and screening 5. Academic or educational use in finance courses
Data Source & Notes 1. All data was aggregated from TradingView using public financial data endpoints. 2. Missing values may occur for companies that do not report certain metrics. 3. All monetary figures are based on the latest available TTM (Trailing Twelve Months) or FQ (Fiscal Quarter) data at the time of extraction.
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TwitterThe NYSE U.S. 100 Index tracks the largest U.S. companies traded on the New York Stock Exchange. This statistic shows the leading 20 companies on the NYSE U.S. 100 Index by market capitalization. As of January 28, 2024 the multinational conglomerate company ****************** ranked as the first, with a market capitalization of over *** billion euros. This was followed by ********* and ***************, with market capitalizations amounting to *** billion and *** billion euros respectively. NYSE U.S. 100 Index vs. Nasdaq 100 Index The New York Stock Exchange and the Nasdaq are the largest two stock exchanges in the world, but they differ in the kinds of companies they list. The NYSE is known to list stable and long-lasting firms, commonly referred to as “blue-chip” companies. In contrast, the Nasdaq is renowned for listing the world’s biggest companies, mainly from the tech industry. Similar to the NYSE U.S. 100 Index, the Nasdaq 100 Index tracks the 100 largest non-financial companies listed on the Nasdaq exchange, including both U.S. and non-U.S. companies. The leader of the NYSE U.S. 100 index: Berkshire Hathaway Berkshire Hathaway, the leader of the NYSE U.S. 100 Index, was also among the world's largest companies by revenue in 2023. The company is a multinational conglomerate and holding company with insurance as its core business and interests in other sectors such as railroad, utilities and energy, finance. In fact, Berkshire was the world's biggest insurance company by revenue in 2023. As a holding company, it has significant stakes in some of the world’s largest companies, including Apple, Bank of America and Coca-Cola. With its diverse background in various businesses and industries, Berkshire Hathaway had a total revenue of *** billion U.S. dollars in 2023.
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The US_Stock_Data.csv dataset offers a comprehensive view of the US stock market and related financial instruments, spanning from January 2, 2020, to February 2, 2024. This dataset includes 39 columns, covering a broad spectrum of financial data points such as prices and volumes of major stocks, indices, commodities, and cryptocurrencies. The data is presented in a structured CSV file format, making it easily accessible and usable for various financial analyses, market research, and predictive modeling. This dataset is ideal for anyone looking to gain insights into the trends and movements within the US financial markets during this period, including the impact of major global events.
The dataset captures daily financial data across multiple assets, providing a well-rounded perspective of market dynamics. Key features include:
The dataset’s structure is designed for straightforward integration into various analytical tools and platforms. Each column is dedicated to a specific asset's daily price or volume, enabling users to perform a wide range of analyses, from simple trend observations to complex predictive models. The inclusion of intraday data for Bitcoin provides a detailed view of market movements.
This dataset is highly versatile and can be utilized for various financial research purposes:
The dataset’s daily updates ensure that users have access to the most current data, which is crucial for real-time analysis and decision-making. Whether for academic research, market analysis, or financial modeling, the US_Stock_Data.csv dataset provides a valuable foundation for exploring the complexities of financial markets over the specified period.
This dataset would not be possible without the contributions of Dhaval Patel, who initially curated the US stock market data spanning from 2020 to 2024. Full credit goes to Dhaval Patel for creating and maintaining the dataset. You can find the original dataset here: US Stock Market 2020 to 2024.
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Gain access to LSEG's National Stock Exchange of India data, India's largest stock exchange with more than 180,000 terminals across 600 districts.
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Graph and download economic data for Financial Market: Share Prices for Euro Area (19 Countries) (SPASTT01EZA661N) from 1987 to 2024 about stock market, Euro Area, and Europe.
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France's main stock market index, the FR40, rose to 8121 points on December 2, 2025, gaining 0.29% from the previous session. Over the past month, the index has climbed 0.13% and is up 11.93% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from France. France Stock Market Index (FR40) - values, historical data, forecasts and news - updated on December of 2025.