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The main stock market index of United States, the US500, rose to 6818 points on December 2, 2025, gaining 0.08% from the previous session. Over the past month, the index has declined 0.50%, though it remains 12.70% higher than a year ago, 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 December of 2025.
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TwitterThe value of the DJIA index amounted to ****** at the end of June 2025, up from ********* at the end of March 2020. Global panic about the coronavirus epidemic caused the drop in March 2020, which was the worst drop since the collapse of Lehman Brothers in 2008. Dow Jones Industrial Average index – additional information The Dow Jones Industrial Average index is a price-weighted average of 30 of the largest American publicly traded companies on New York Stock Exchange and NASDAQ, and includes companies like Goldman Sachs, IBM and Walt Disney. This index is considered to be a barometer of the state of the American economy. DJIA index was created in 1986 by Charles Dow. Along with the NASDAQ 100 and S&P 500 indices, it is amongst the most well-known and used stock indexes in the world. The year that the 2018 financial crisis unfolded was one of the worst years of the Dow. It was also in 2008 that some of the largest ever recorded losses of the Dow Jones Index based on single-day points were registered. On September 29, 2008, for instance, the Dow had a loss of ****** points, one of the largest single-day losses of all times. The best years in the history of the index still are 1915, when the index value increased by ***** percent in one year, and 1933, year when the index registered a growth of ***** percent.
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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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TwitterThe 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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United Kingdom's main stock market index, the GB100, fell to 9690 points on December 2, 2025, losing 0.13% from the previous session. Over the past month, the index has declined 0.12%, though it remains 15.91% higher than a year ago, according to trading on a contract for difference (CFD) that tracks this benchmark index from United Kingdom. United Kingdom Stock Market Index (GB100) - values, historical data, forecasts and news - updated on December of 2025.
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India's main stock market index, the SENSEX, fell to 85138 points on December 2, 2025, losing 0.59% from the previous session. Over the past month, the index has climbed 1.38% and is up 5.31% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from India. BSE SENSEX Stock Market Index - values, historical data, forecasts and news - updated on December of 2025.
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TwitterThe dataset contains a total of 25,161 rows, each row representing the stock market data for a specific company on a given date. The information collected through web scraping from www.nasdaq.com includes the stock prices and trading volumes for the companies listed, such as Apple, Starbucks, Microsoft, Cisco Systems, Qualcomm, Meta, Amazon.com, Tesla, Advanced Micro Devices, and Netflix.
Data Analysis Tasks:
1) Exploratory Data Analysis (EDA): Analyze the distribution of stock prices and volumes for each company over time. Visualize trends, seasonality, and patterns in the stock market data using line charts, bar plots, and heatmaps.
2)Correlation Analysis: Investigate the correlations between the closing prices of different companies to identify potential relationships. Calculate correlation coefficients and visualize correlation matrices.
3)Top Performers Identification: Identify the top-performing companies based on their stock price growth and trading volumes over a specific time period.
4)Market Sentiment Analysis: Perform sentiment analysis using Natural Language Processing (NLP) techniques on news headlines related to each company. Determine whether positive or negative news impacts the stock prices and volumes.
5)Volatility Analysis: Calculate the volatility of each company's stock prices using metrics like Standard Deviation or Bollinger Bands. Analyze how volatile stocks are in comparison to others.
Machine Learning Tasks:
1)Stock Price Prediction: Use time-series forecasting models like ARIMA, SARIMA, or Prophet to predict future stock prices for a particular company. Evaluate the models' performance using metrics like Mean Squared Error (MSE) or Root Mean Squared Error (RMSE).
2)Classification of Stock Movements: Create a binary classification model to predict whether a stock will rise or fall on the next trading day. Utilize features like historical price changes, volumes, and technical indicators for the predictions. Implement classifiers such as Logistic Regression, Random Forest, or Support Vector Machines (SVM).
3)Clustering Analysis: Cluster companies based on their historical stock performance using unsupervised learning algorithms like K-means clustering. Explore if companies with similar stock price patterns belong to specific industry sectors.
4)Anomaly Detection: Detect anomalies in stock prices or trading volumes that deviate significantly from the historical trends. Use techniques like Isolation Forest or One-Class SVM for anomaly detection.
5)Reinforcement Learning for Portfolio Optimization: Formulate the stock market data as a reinforcement learning problem to optimize a portfolio's performance. Apply algorithms like Q-Learning or Deep Q-Networks (DQN) to learn the optimal trading strategy.
The dataset provided on Kaggle, titled "Stock Market Stars: Historical Data of Top 10 Companies," is intended for learning purposes only. The data has been gathered from public sources, specifically from web scraping www.nasdaq.com, and is presented in good faith to facilitate educational and research endeavors related to stock market analysis and data science.
It is essential to acknowledge that while we have taken reasonable measures to ensure the accuracy and reliability of the data, we do not guarantee its completeness or correctness. The information provided in this dataset may contain errors, inaccuracies, or omissions. Users are advised to use this dataset at their own risk and are responsible for verifying the data's integrity for their specific applications.
This dataset is not intended for any commercial or legal use, and any reliance on the data for financial or investment decisions is not recommended. We disclaim any responsibility or liability for any damages, losses, or consequences arising from the use of this dataset.
By accessing and utilizing this dataset on Kaggle, you agree to abide by these terms and conditions and understand that it is solely intended for educational and research purposes.
Please note that the dataset's contents, including the stock market data and company names, are subject to copyright and other proprietary rights of the respective sources. Users are advised to adhere to all applicable laws and regulations related to data usage, intellectual property, and any other relevant legal obligations.
In summary, this dataset is provided "as is" for learning purposes, without any warranties or guarantees, and users should exercise due diligence and judgment when using the data for any purpose.
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The provided dataset is extracted from yahoo finance using pandas and yahoo finance library in python. This deals with stock market index of the world best economies. The code generated data from Jan 01, 2003 to Jun 30, 2023 that’s more than 20 years. There are 18 CSV files, dataset is generated for 16 different stock market indices comprising of 7 different countries. Below is the list of countries along with number of indices extracted through yahoo finance library, while two CSV files deals with annualized return and compound annual growth rate (CAGR) has been computed from the extracted data.
https://www.googleapis.com/download/storage/v1/b/kaggle-user-content/o/inbox%2F15657145%2F90ce8a986761636e3edbb49464b304d8%2FNumber%20of%20Index.JPG?generation=1688490342207096&alt=media" alt="">
This dataset is useful for research purposes, particularly for conducting comparative analyses involving capital market performance and could be used along with other economic indicators.
There are 18 distinct CSV files associated with this dataset. First 16 CSV files deals with number of indices and last two CSV file deals with annualized return of each year and CAGR of each index. If data in any column is blank, it portrays that index was launch in later years, for instance: Bse500 (India), this index launch in 2007, so earlier values are blank, similarly China_Top300 index launch in year 2021 so early fields are blank too.
The extraction process involves applying different criteria, like in 16 CSV files all columns are included, Adj Close is used to calculate annualized return. The algorithm extracts data based on index name (code given by the yahoo finance) according start and end date.
Annualized return and CAGR has been calculated and illustrated in below image along with machine readable file (CSV) attached to that.
To extract the data provided in the attachment, various criteria were applied:
Content Filtering: The data was filtered based on several attributes, including the index name, start and end date. This filtering process ensured that only relevant data meeting the specified criteria.
Collaborative Filtering: Another filtering technique used was collaborative filtering using yahoo finance, which relies on index similarity. This approach involves finding indices that are similar to other index or extended dataset scope to other countries or economies. By leveraging this method, the algorithm identifies and extracts data based on similarities between indices.
In the last two CSV files, one belongs to annualized return, that was calculated based on the Adj close column and new DataFrame created to store its outcome. Below is the image of annualized returns of all index (if unreadable, machine-readable or CSV format is attached with the dataset).
As far as annualised rate of return is concerned, most of the time India stock market indices leading, followed by USA, Canada and Japan stock market indices.
https://www.googleapis.com/download/storage/v1/b/kaggle-user-content/o/inbox%2F15657145%2F37645bd90623ea79f3708a958013c098%2FAnnualized%20Return.JPG?generation=1688525901452892&alt=media" alt="">
The best performing index based on compound growth is Sensex (India) that comprises of top 30 companies is 15.60%, followed by Nifty500 (India) that is 11.34% and Nasdaq (USA) all is 10.60%.
The worst performing index is China top300, however this is launch in 2021 (post pandemic), so would not possible to examine at that stage (due to less data availability). Furthermore, UK and Russia indices are also top 5 in the worst order.
https://www.googleapis.com/download/storage/v1/b/kaggle-user-content/o/inbox%2F15657145%2F58ae33f60a8800749f802b46ec1e07e7%2FCAGR.JPG?generation=1688490409606631&alt=media" alt="">
Geography: Stock Market Index of the World Top Economies
Time period: Jan 01, 2003 – June 30, 2023
Variables: Stock Market Index Title, Open, High, Low, Close, Adj Close, Volume, Year, Month, Day, Yearly_Return and CAGR
File Type: CSV file
This is not a financial advice; due diligence is required in each investment decision.
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TwitterIn 2025, ** percent of adults in the United States invested in the stock market. This figure has remained steady over the last few years and is still below the levels before the Great Recession, when it peaked in 2007 at ** percent. What is the stock market? The stock market can be defined as a group of stock exchanges where investors can buy shares in a publicly traded company. In more recent years, it is estimated an increasing number of Americans are using neobrokers, making stock trading more accessible to investors. Other investments A significant number of people think stocks and bonds are the safest investments, while others point to real estate, gold, bonds, or a savings account. Since witnessing the significant one-day losses in the stock market during the financial crisis, many investors were turning towards these alternatives in hopes for more stability, particularly for investments with longer maturities. This could explain the decrease in this statistic since 2007. Nevertheless, some speculators enjoy chasing the short-run fluctuations, and others see value in choosing particular stocks.
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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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This dataset provides clean and structured stock data for all S&P 500 companies (503 tickers in total, including dual-class stocks such as A and B shares). Period January 1 – June 30, 2025.
Each record contains key daily information for every company, including: Company Name Ticker Symbol Date Opening Price Date Closing Price Date Trading Volume
The data is organized in a tabular format and ideal for machine learning, stock market trend analysis, modeling, financial research and visualization.
With its consistent structure and clean formatting, this dataset is ready to use for both exploratory data analysis and model training in time series or regression tasks.
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TwitterEnd-of-day prices refer to the closing prices of various financial instruments, such as equities (stocks), bonds, and indices, at the end of a trading session on a particular trading day. These prices are crucial pieces of market data used by investors, traders, and financial institutions to track the performance and value of these assets over time. The Techsalerator closing prices dataset is considered the most up-to-date, standardized valuation of a security trading commences again on the next trading day. This data is used for portfolio valuation, index calculation, technical analysis and benchmarking throughout the financial industry. The End-of-Day Pricing service covers equities, equity derivative bonds, and indices listed on 170 markets worldwide.
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This dataset consists of five CSV files that provide detailed data on a stock portfolio and related market performance over the last 5 years. It includes portfolio positions, stock prices, and major U.S. market indices (NASDAQ, S&P 500, and Dow Jones). The data is essential for conducting portfolio analysis, financial modeling, and performance tracking.
This file contains the portfolio composition with details about individual stock positions, including the quantity of shares, sector, and their respective weights in the portfolio. The data also includes the stock's closing price.
Ticker: The stock symbol (e.g., AAPL, TSLA) Quantity: The number of shares in the portfolio Sector: The sector the stock belongs to (e.g., Technology, Healthcare) Close: The closing price of the stock Weight: The weight of the stock in the portfolio (as a percentage of total portfolio)This file contains historical pricing data for the stocks in the portfolio. It includes daily open, high, low, close prices, adjusted close prices, returns, and volume of traded stocks.
Date: The date of the data point Ticker: The stock symbol Open: The opening price of the stock on that day High: The highest price reached on that day Low: The lowest price reached on that day Close: The closing price of the stock Adjusted: The adjusted closing price after stock splits and dividends Returns: Daily percentage return based on close prices Volume: The volume of shares traded that dayThis file contains historical pricing data for the NASDAQ Composite index, providing similar data as in the Portfolio Prices file, but for the NASDAQ market index.
Date: The date of the data point Ticker: The stock symbol (for NASDAQ index, this will be "IXIC") Open: The opening price of the index High: The highest value reached on that day Low: The lowest value reached on that day Close: The closing value of the index Adjusted: The adjusted closing value after any corporate actions Returns: Daily percentage return based on close values Volume: The volume of shares tradedThis file contains similar historical pricing data, but for the S&P 500 index, providing insights into the performance of the top 500 U.S. companies.
Date: The date of the data point Ticker: The stock symbol (for S&P 500 index, this will be "SPX") Open: The opening price of the index High: The highest value reached on that day Low: The lowest value reached on that day Close: The closing value of the index Adjusted: The adjusted closing value after any corporate actions Returns: Daily percentage return based on close values Volume: The volume of shares tradedThis file contains similar historical pricing data for the Dow Jones Industrial Average, providing insights into one of the most widely followed stock market indices in the world.
Date: The date of the data point Ticker: The stock symbol (for Dow Jones index, this will be "DJI") Open: The opening price of the index High: The highest value reached on that day Low: The lowest value reached on that day Close: The closing value of the index Adjusted: The adjusted closing value after any corporate actions Returns: Daily percentage return based on close values Volume: The volume of shares tradedThis data is received using a custom framework that fetches real-time and historical stock data from Yahoo Finance. It provides the portfolio’s data based on user-specific stock holdings and performance, allowing for personalized analysis. The personal framework ensures the portfolio data is automatically retrieved and updated with the latest stock prices, returns, and performance metrics.
This part of the dataset would typically involve data specific to a particular user’s stock positions, weights, and performance, which can be integrated with the other files for portfolio performance analysis.
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The Indian Stock Market Dataset provides a comprehensive collection of stock market data sourced from secondary sources, primarily Google, offering insights into investment opportunities and trends within the Indian financial landscape. This dataset encompasses a wide array of information, with a primary focus on Return on Investment (ROI) metrics and the respective industry sectors in which investments are made.
With a reliability rating of 80%, this dataset offers valuable insights for investors, analysts, researchers, and enthusiasts seeking to understand and navigate the complexities of the Indian stock market. The dataset serves as a foundational resource for analyzing market performance, identifying lucrative investment opportunities, and making informed decisions in a dynamic financial environment.
Key features of the dataset include:
ROI Analysis: The dataset provides detailed ROI metrics, allowing stakeholders to assess the profitability of various investment avenues over specific timeframes. By analyzing ROI trends, investors can gauge the performance of individual stocks, portfolios, or entire industry sectors, facilitating strategic investment planning and risk management.
Industry Classification: Each investment entry in the dataset is categorized according to its respective industry sector. This classification enables users to explore investment opportunities within specific sectors such as technology, healthcare, finance, energy, consumer goods, and more. Understanding industry dynamics and market trends is essential for optimizing investment portfolios and diversifying risk exposure.
Historical Data: The dataset includes historical stock market data, offering insights into past performance trends and market behavior. By examining historical data, users can identify patterns, correlations, and anomalies that may impact future investment decisions. Historical analysis empowers investors to make informed predictions and adapt strategies in response to evolving market conditions.
Data Accuracy: While the dataset boasts an accuracy rate of 80%, users should exercise diligence and consider additional sources for validation and verification. While the majority of data points are reliable, occasional discrepancies or inaccuracies may exist, highlighting the importance of due diligence and comprehensive analysis in the investment process.
Accessibility: The Indian Stock Market Dataset is easily accessible and user-friendly, catering to a diverse audience ranging from seasoned investors to novices exploring the world of finance. The dataset can be utilized for various purposes, including academic research, financial modeling, algorithmic trading, and investment portfolio management.
In summary, the Indian Stock Market Dataset offers a valuable resource for analyzing ROI and industry trends within the Indian financial landscape. With a focus on accuracy, accessibility, and comprehensive data coverage, this dataset empowers stakeholders to make informed investment decisions, optimize portfolio performance, and navigate the complexities of the dynamic stock market environment. Whether you're a seasoned investor or a novice enthusiast, this dataset provides valuable insights for unlocking the potential of the Indian stock market.
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This dataset provides historical stock market performance data for specific companies. It enables users to analyze and understand the past trends and fluctuations in stock prices over time. This information can be utilized for various purposes such as investment analysis, financial research, and market trend forecasting.
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TwitterEnd-of-day prices refer to the closing prices of various financial instruments, such as equities (stocks), bonds, and indices, at the end of a trading session on a particular trading day. These prices are crucial pieces of market data used by investors, traders, and financial institutions to track the performance and value of these assets over time. The Techsalerator closing prices dataset is considered the most up-to-date, standardized valuation of a security trading commences again on the next trading day. This data is used for portfolio valuation, index calculation, technical analysis and benchmarking throughout the financial industry. The End-of-Day Pricing service covers equities, equity derivative bonds, and indices listed on 170 markets worldwide.
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All data acquired on December 11th 2023
1) Ticker: Stock symbol identifying the company.
2) Company: Name of the company.
3) Sector: Industry category to which the company belongs.
4) Industry: Specific sector or business category of the company.
5) Country: Country where the company is based.
6) Market Cap: Total market value of a company's outstanding shares.
7) Price: Current stock price.
8) Change (%): Percentage change in stock price.
9) Volume: Number of shares traded.
10) Price to Earnings Ratio: Ratio of stock price to earnings per share.
11) Price to Earnings: Price-to-earnings ratio based on past earnings.
12) Forward Price to Earnings: Expected price-to-earnings ratio.
13) Price/Earnings to Growth: Ratio of P/E to earnings growth.
14) Price to Sales: Ratio of stock price to annual sales.
15) Price to Book: Ratio of stock price to book value.
16) Price to Cash: Ratio of stock price to cash per share.
17) Price to Free Cash Flow: Ratio of stock price to free cash flow.
18) Earnings Per Share This Year (%): Percentage change in earnings per share for the current year.
19) Earnings Per Share Next Year (%): Percentage change in earnings per share for the next year.
20) Earnings Per Share Past 5 Years (%): Percentage change in earnings per share over the past 5 years.
21) Earnings Per Share Next 5 Years (%): Estimated percentage change in earnings per share over the next 5 years.
22) Sales Past 5 Years (%): Percentage change in sales over the past 5 years.
23) Dividend (%): Dividend yield as a percentage of the stock price.
24) Return on Assets (%): Percentage return on total assets.
25) Return on Equity (%): Percentage return on shareholder equity.
26) Return on Investment (%): Percentage return on total investment.
27) Current Ratio: Ratio of current assets to current liabilities.
28) Quick Ratio: Ratio of liquid assets to current liabilities.
29) Long-Term Debt to Equity: Ratio of long-term debt to shareholder equity.
30) Debt to Equity: Ratio of total debt to shareholder equity.
31) Gross Margin (%): Percentage difference between revenue and cost of goods sold.
32) Operating Margin (%): Percentage of operating income to revenue.
33) Profit Margin: Percentage of net income to revenue.
34) Earnings: Net income of the company.
35) Outstanding Shares: Total number of shares issued by the company.
36) Float: Tradable shares available to the public.
37) Insider Ownership (%): Percentage of company owned by insiders.
38) Insider Transactions: Recent insider buying or selling activity.
39) Institutional Ownership (%): Percentage of company owned by institutional investors.
40) Float Short (%): Percentage of tradable shares sold short by investors.
41) Short Ratio: Number of days it would take to cover short positions.
42) Average Volume: Average number of shares traded daily.
43) Performance (Week) (%): Weekly stock performance percentage.
44) Performance (Month) (%): Monthly stock performance percentage.
45) Performance (Quarter) (%): Quarterly stock performance percentage.
46) Performance (Half Year) (%): Semi-annual stock performance percentage.
47) Performance (Year) (%): Annual stock performance percentage.
48) Performance (Year to Date) (%): Year-to-date stock performance percentage.
49) Volatility (Week) (%): Weekly stock price volatility percentage.
50) Volatility (Month) (%): Monthly stock price volatility percentage.
51) Analyst Recommendation: Analyst consensus recommendation on the stock.
52) Relative Volume: Volume compared to the average volume.
53) Beta: Measure of stock price volatility relative to the market.
54) Average True Range: Average price range of a stock.
55) Simple Moving Average (20) (%): Percentage difference from the 20-day simple moving average.
56) Simple Moving Average (50) (%): Percentage difference from the 50-day simple moving average.
57) Simple Moving Average (200) (%): Percentage difference from the 200-day simple moving average.
58) Yearly High (%): Percentage difference from the yearly high stock price.
59) Yearly Low (%): Percentage difference from the yearly low stock price.
60) Relative Strength Index: Momentum indicator measuring the speed and change of price movements.
61) Change from Open (%): Percentage change from the opening stock price.
62) Gap (%): Percentage difference between the previous close and the current open price.
63) Volume: Total number of shares traded.
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View monthly updates and historical trends for S&P 500 2 Year Return. from United States. Source: Standard and Poor's. Track economic data with YCharts an…
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TwitterTechsalerator offers an extensive dataset of End-of-Day Pricing Data for all 2597 companies listed on the Hong Kong Stock Exchange (XHKG) in Hong Kong. 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 Hong Kong:
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 Hong Kong:
Hang Seng Index: The main index that tracks the performance of major companies listed on the Hong Kong Stock Exchange. This index provides an overview of the overall market performance in Hong Kong.
Hang Seng China Enterprises Index (HSCEI): The index that tracks the performance of mainland Chinese companies listed on the Hong Kong Stock Exchange. This index reflects the performance of Chinese companies with significant operations in Hong Kong.
Company A: A prominent Hong Kong-based company with diversified operations across various sectors, such as finance, real estate, or retail. This company's stock is widely traded on the Hong Kong Stock Exchange.
Company B: A leading financial institution in Hong Kong, offering banking, insurance, or investment services. This company's stock is actively traded on the Hong Kong Stock Exchange.
Company C: A major player in the Hong Kong property development or other industries, involved in the construction and management of real estate projects. This company's stock is listed and actively traded on the Hong Kong Stock Exchange.
If you're interested in accessing Techsalerator's End-of-Day Pricing Data for Hong Kong, 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 Hong Kong 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 tr...
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Comprehensive 27+ years of daily stock market data for Indian indices (SENSEX & NIFTY 50) and all their constituent companies. This dataset includes OHLCV data along with pre-calculated technical indicators, making it perfect for time series analysis, algorithmic trading strategies, and machine learning applications.
Total Records: 400,000+
Companies: 80 stocks (30 SENSEX + 50 NIFTY 50)
Features: 21 columns per record
-Correlation analysis between stocks - Volatility clustering analysis - Market crash impact studies (2008 financial crisis, 2020 COVID) - Sectoral performance comparison
Adani Enterprises, Asian Paints, Axis Bank, Bajaj Finance, Bajaj Finserv, Bharti Airtel, HDFC Bank, HCL Technologies, Hindustan Unilever, ICICI Bank, IndusInd Bank, Infosys, ITC, Kotak Mahindra Bank, Larsen & Toubro, Mahindra & Mahindra, Maruti Suzuki, Nestle India, NTPC, ONGC, Power Grid Corporation, Reliance Industries, State Bank of India, Sun Pharmaceutical, Tata Consultancy Services, Tata Motors, Tata Steel, Tech Mahindra, Titan Company, UltraTech Cement, Wipro
All SENSEX 30 companies plus: Adani Ports, Apollo Hospitals, Bajaj Auto, Bharat Petroleum, Britannia Industries, Cipla, Coal India, Divi's Laboratories, Dr. Reddy's Laboratories, Eicher Motors, Grasim Industries, Hero MotoCorp, Hindalco Industries, Hindustan Zinc, JSW Steel, LTIMindtree, Shriram Finance, Tata Consumer Products, Trent
Ticker Conventions:
- .BO suffix = Bombay Stock Exchange (BSE)
- .NS suffix = National Stock Exchange (NSE)
If you use this dataset in your research, please cite:
Indian Stock Market Historical Data - SENSEX & NIFTY 50 (1997-2024)
Kaggle Dataset, November 2024
URL: https://www.kaggle.com/datasets/rockyt07/stock-market-sensex-nifty-all-time-dataset
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The main stock market index of United States, the US500, rose to 6818 points on December 2, 2025, gaining 0.08% from the previous session. Over the past month, the index has declined 0.50%, though it remains 12.70% higher than a year ago, 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 December of 2025.