Malawi was the African country with the best-performing stock market in 2022. That year, the Malawian stock exchange grew by around 36 percent compared to the previous year. Egypt and Zambia followed with a performance of 22.2 percent and 21.1 percent, respectively. On the other hand, the stock market in Kenya and Morocco contacted by almost 24 and 20 percent in 2022, respectively.
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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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Stock market return (%, year-on-year) in United States was reported at 32.65 % in 2021, according to the World Bank collection of development indicators, compiled from officially recognized sources. United States - Stock market return (%, year-on-year) - actual values, historical data, forecasts and projections were sourced from the World Bank on June of 2025.
The performance of the S&P 500 following Federal Funds rate hikes generally shows that ********************** after a hike is when the impact is most pronounced, often resulting in lower or even negative returns. This initial reaction likely reflects investor uncertainty and market adjustment to the new borrowing costs. However, as time progresses, returns tend to stabilize, with the 12-month period typically showing recovery and improvement. Notably, the rate hike on March 17, 2022, stands out as an exception, as it resulted in negative returns across all observed periods (three months, six months, and 12 months), underscoring the unique market conditions and investor sentiment at that time.
The Dow Jones Industrial Average (DJIA) index dropped around ***** points in the four weeks from February 12 to March 11, 2020, but has since recovered and peaked at ********* points as of November 24, 2024. In February 2020 - just prior to the global coronavirus (COVID-19) pandemic, the DJIA index stood at a little over ****** points. U.S. markets suffer as virus spreads The COVID-19 pandemic triggered a turbulent period for stock markets – the S&P 500 and Nasdaq Composite also recorded dramatic drops. At the start of February, some analysts remained optimistic that the outbreak would ease. However, the increased spread of the virus started to hit investor confidence, prompting a record plunge in the stock markets. The Dow dropped by more than ***** points in the week from February 21 to February 28, which was a fall of **** percent – its worst percentage loss in a week since October 2008. Stock markets offer valuable economic insights The Dow Jones Industrial Average is a stock market index that monitors the share prices of the 30 largest companies in the United States. By studying the performance of the listed companies, analysts can gauge the strength of the domestic economy. If investors are confident in a company’s future, they will buy its stocks. The uncertainty of the coronavirus sparked fears of an economic crisis, and many traders decided that investment during the pandemic was too risky.
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Interactive chart illustrating the performance of the Dow Jones Industrial Average (DJIA) market index over the last ten years. Each point of the stock market graph is represented by the daily closing price for the DJIA. Historical data can be downloaded via the red button on the upper left corner of the chart.
The Dow Jones Industrial Average (DJI) index increased overall between January 2022 and April 2024. Between January 4 and June 17, 2022, the index dropped nearly ***** points. It then managed to recover to ********* points as of August 16, 2022, but started a sharp decrease again afterwards. As of March 3, 2025, the index stood at ********* points.
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Interactive chart of the S&P 500 stock market index since 1927. Historical data is inflation-adjusted using the headline CPI and each data point represents the month-end closing value. The current month is updated on an hourly basis with today's latest value.
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Stock market return (%, year-on-year) in Indonesia was reported at 18.73 % in 2021, according to the World Bank collection of development indicators, compiled from officially recognized sources. Indonesia - Stock market return (%, year-on-year) - actual values, historical data, forecasts and projections were sourced from the World Bank on July of 2025.
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Hong Kong's main stock market index, the HK50, rose to 24140 points on July 11, 2025, gaining 0.46% from the previous session. Over the past month, the index has climbed 0.43% and is up 31.96% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from Hong Kong. Hong Kong Stock Market Index (HK50) - values, historical data, forecasts and news - updated on July of 2025.
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The allocation of assets across different markets is a crucial element of investment strategy. In this regard, stocks and bonds are two significant assets that form the backbone of multi-asset allocation. Among publicly offered funds (The publicly offered funds in China correspond to the mutual funds in the United States, with different names and details in terms of legal form and sales channels), the stock-bond hybrid fund gives investors a return while minimizing the risk through capital flow between the stock and bond markets. Our research on China’s financial market data from 2006 to 2022 reveals a cross-asset momentum between the stock and bond markets. We find that the momentum in the stock market negatively influences the bond market’s return, while the momentum in the bond market positively influences the stock market’s return. Portfolios that exploit cross-asset momentum have excess returns that other asset pricing factors cannot explain. Our analysis reveals that hybrid funds play an intermediary role in the transmission mechanism of cross-asset momentum. We observe that the more flexible the asset allocation ratio of the fund, the more crucial the intermediary role played by the fund. Hence, encouraging the development of hybrid funds and relaxing restrictions on asset allocation ratios could improve liquidity and pricing efficiency. These findings have significant implications for investors seeking to optimize their asset allocation across different markets and for policymakers seeking to enhance the efficiency of China’s financial market.
In 2023, the S&P 500 Information Technology Index outperformed other sectors, with annual return of **** percent. On the other hand, the S&P 500 Utilities Index recorded the lowest returns, with a loss of *** percent.
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Interactive chart of the S&P 500 stock market index over the last 10 years. Values shown are daily closing prices. The most recent value is updated on an hourly basis during regular trading hours.
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China's main stock market index, the SHANGHAI, rose to 3510 points on July 11, 2025, gaining 0.01% from the previous session. Over the past month, the index has climbed 3.16% and is up 18.14% compared to the same time last year, 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 July of 2025.
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Argentina's main stock market index, the Merval, fell to 2008410 points on July 11, 2025, losing 2.92% from the previous session. Over the past month, the index has declined 8.19%, though it remains 17.07% higher than a year ago, according to trading on a contract for difference (CFD) that tracks this benchmark index from Argentina. Argentina Stock Market (MERVAL) - values, historical data, forecasts and news - updated on July of 2025.
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High - Performance Clock Generators ICS Market, High - Performance Clock Generators ICS Market Size, High - Performance Clock Generators ICS Market Trends, High - Performance Clock Generators ICS Market Forecast, High - Performance Clock Generators ICS Market Risks, High - Performance Clock Generators ICS Market Report, High - Performance Clock Generators ICS Market Share
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Sprouts Farmers Market return on investment for the quarter ending March 31, 2025 was 34.04. Sprouts Farmers Market average return on investment for 2024 was 25.86, a 30.94% increase from 2023. Sprouts Farmers Market average return on investment for 2023 was 19.75, a 1.79% increase from 2022. Sprouts Farmers Market average return on investment for 2022 was 20.11, a 10.7% decline from 2021. Roi - return on investment can be defined as an indicator of how profitable a company is relative to its assets invested by shareholders and long-term bond holders. Calculated by dividing a company's operating earnings by its long-term debt and shareholders equity.
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BCC Research Market Report says Global high performance computing market was valued at $46.2 billion in 2022 and will reach $107.8 billion by 2028 growing at a CAGR of 15.6% from 2023 to 2028.
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Stock market return (%, year-on-year) in Malaysia was reported at 3.2716 % in 2021, according to the World Bank collection of development indicators, compiled from officially recognized sources. Malaysia - Stock market return (%, year-on-year) - actual values, historical data, forecasts and projections were sourced from the World Bank on July of 2025.
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Cboe Global Markets return on equity for the quarter ending March 31, 2025 was 18.91. Cboe Global Markets average return on equity for 2024 was 19.35, a 15.11% decline from 2023. Cboe Global Markets average return on equity for 2023 was 16.81, a 97.76% increase from 2022. Cboe Global Markets average return on equity for 2022 was 8.5, a 37.68% increase from 2021. Roe - return on equity can be defined as the amount of net income returned as a percentage of shareholders equity. Return on equity measures a corporation's profitability by revealing how much profit a company generates with the money shareholders have invested.
Malawi was the African country with the best-performing stock market in 2022. That year, the Malawian stock exchange grew by around 36 percent compared to the previous year. Egypt and Zambia followed with a performance of 22.2 percent and 21.1 percent, respectively. On the other hand, the stock market in Kenya and Morocco contacted by almost 24 and 20 percent in 2022, respectively.