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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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United States - S&P 500 was 6389.77000 Index in July of 2025, according to the United States Federal Reserve. Historically, United States - S&P 500 reached a record high of 6389.77000 in July of 2025 and a record low of 676.53000 in March of 2009. Trading Economics provides the current actual value, an historical data chart and related indicators for United States - S&P 500 - last updated from the United States Federal Reserve on July of 2025.
The Standard & Poor’s (S&P) 500 Index is an index of 500 leading publicly traded companies in the United States. In 2021, the index value closed at ******** points, which was the second highest value on record despite the economic effects of the global coronavirus (COVID-19) pandemic. In 2023, the index values closed at ********, the highest value ever recorded. What is the S&P 500? The S&P 500 was established in 1860 and expanded to its present form of 500 stocks in 1957. It tracks the price of stocks on the major stock exchanges in the United States, distilling their performance down to a single number that investors can use as a snapshot of the economy’s performance at a given moment. This snapshot can be explored further. For example, the index can be examined by industry sector, which gives a more detailed illustration of the economy. Other measures Being a stock market index, the S&P 500 only measures equities performance. In addition to other stock market indices, analysts will look to other indicators such as GDP growth, unemployment rates, and projected inflation. Similarly, since these indicators say something about the economic future, stock market investors will use these indicators to speculate on the stocks in the S&P 500.
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The main stock market index of United States, the US500, rose to 6391 points on July 31, 2025, gaining 0.45% from the previous session. Over the past month, the index has climbed 3.12% and is up 17.34% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from United States. United States Stock Market Index - values, historical data, forecasts and news - updated on July of 2025.
Between March 4 and March 11, 2020, the S&P 500 index declined by ** percent, descending into a bear market. On March 12, 2020, the S&P 500 plunged *** percent, its steepest one-day fall since 1987. The index began to recover at the start of April and reached a peak in December 2021. As of December 29, 2024, the value of the S&P 500 stood at ******** points. Coronavirus sparks stock market chaos Stock markets plunged in the wake of the COVID-19 pandemic, with investors fearing its spread would destroy economic growth. Buoyed by figures that suggested cases were leveling off in China, investors were initially optimistic about the virus being contained. However, confidence in the market started to subside as the number of cases increased worldwide. Investors were deterred from buying stocks, and this was reflected in the markets – the values of the Dow Jones Industrial Average and the Nasdaq Composite also dived during the height of the crisis. What is a bear market? A bear market occurs when the value of a stock market suffers a prolonged decline of more than 20 percent over a period of at least 2 months. The COVID-19 pandemic caused severe concern and sent stock markets on a steep downward spiral. The S&P 500 achieved a record closing high of ***** on February 19, 2020. However, just over 3 weeks later, the market closed on *****, which represented a decline of around ** percent in only 16 sessions.
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S&P 500 index data including level, dividend, earnings and P/E ratio on a monthly basis since 1870. The S&P 500 (Standard and Poor's 500) is a free-float, capitalization-weighted index of the top ...
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United States - CBOE S&P 500 3-Month Volatility was 18.16000 Index in July of 2025, according to the United States Federal Reserve. Historically, United States - CBOE S&P 500 3-Month Volatility reached a record high of 72.98000 in March of 2020 and a record low of 11.85000 in October of 2017. Trading Economics provides the current actual value, an historical data chart and related indicators for United States - CBOE S&P 500 3-Month Volatility - last updated from the United States Federal Reserve on July of 2025.
The S&P 500, an index of 500 publicly traded companies in the United States, closed at ******** points on the last trading day of December 2024. What is the S&P 500? The S&P 500 is a stock market index that tracks the evolution of 500 companies. In contrast to the Dow Jones Industrial Index, which measures the performance of thirty large U.S. companies, the S&P 500 shows the sentiments in the broader market. Publicly traded companies Companies on the S&P 500 are publicly traded, meaning that anyone can invest in them. A large share of adults in the United States invest in the stock market, though many of these are through a retirement account or mutual fund. While most people make a modest return, the most successful investors have made billions of U.S. dollars through investing.
As of August 2020, the S&P 500 index had lost ** percent of its value due to the COVID-19 pandemic. However, the Great Crash, which began with Black Tuesday, remains the most significant loss in value in its history. That market crash lasted for 300 months and wiped ** percent off the index value.
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Graph and download economic data for CBOE Volatility Index: VIX (VIXCLS) from 1990-01-02 to 2025-07-30 about VIX, volatility, stock market, and USA.
Throughout the 1920s, prices on the U.S. stock exchange rose exponentially, however, by the end of the decade, uncontrolled growth and a stock market propped up by speculation and borrowed money proved unsustainable, resulting in the Wall Street Crash of October 1929. This set a chain of events in motion that led to economic collapse - banks demanded repayment of debts, the property market crashed, and people stopped spending as unemployment rose. Within a year the country was in the midst of an economic depression, and the economy continued on a downward trend until late-1932.
It was during this time where Franklin D. Roosevelt (FDR) was elected president, and he assumed office in March 1933 - through a series of economic reforms and New Deal policies, the economy began to recover. Stock prices fluctuated at more sustainable levels over the next decades, and developments were in line with overall economic development, rather than the uncontrolled growth seen in the 1920s. Overall, it took over 25 years for the Dow Jones value to reach its pre-Crash peak.
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Israel's main stock market index, the TA-125, rose to 3091 points on July 31, 2025, gaining 0.12% from the previous session. Over the past month, the index has climbed 2.16% and is up 57.10% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from Israel. Israel Stock Market (TA-125) - values, historical data, forecasts and news - updated on July of 2025.
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Corporate Profits in the United States decreased to 3203.60 USD Billion in the first quarter of 2025 from 3312 USD Billion in the fourth quarter of 2024. This dataset provides the latest reported value for - United States Corporate Profits - plus previous releases, historical high and low, short-term forecast and long-term prediction, economic calendar, survey consensus and news.
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GSCI fell to 557 Index Points on July 31, 2025, down 0.22% from the previous day. Over the past month, GSCI's price has risen 2.35%, and is up 2.32% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks the benchmark market for this commodity. GSCI Commodity Index - values, historical data, forecasts and news - updated on July of 2025.
The average market risk premium in the United States decreased slightly to *** percent in 2023. This suggests that investors demand a slightly lower return for investments in that country, in exchange for the risk they are exposed to. This premium has hovered between *** and *** percent since 2011. What causes country-specific risk? Risk to investments come from two main sources. First, inflation causes an asset’s price to decrease in real terms. A 100 U.S. dollar investment with three percent inflation is only worth ** U.S. dollars after one year. Investors are also interested in risks of project failure or non-performing loans. The unique U.S. context Analysts have historically considered the United States Treasury to be risk-free. This view has been shifting, but many advisors continue to use treasury yield rates as a risk-free rate. Given the fact that U.S. government securities are available at a variety of terms, this gives investment managers a range of tools for predicting future market developments.
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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.