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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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Actual value and historical data chart for United States Stock Market Return Percent Year On Year
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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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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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Greece's main stock market index, the Athens General, rose to 2108 points on December 2, 2025, gaining 0.41% from the previous session. Over the past month, the index has climbed 4.15% and is up 47.48% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from Greece. Greece Stock Market (ASE) - values, historical data, forecasts and news - updated on December of 2025.
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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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Japan's main stock market index, the JP225, rose to 49553 points on December 2, 2025, gaining 0.51% from the previous session. Over the past month, the index has declined 3.78%, though it remains 26.25% higher than a year ago, according to trading on a contract for difference (CFD) that tracks this benchmark index from Japan. Japan Stock Market Index (JP225) - values, historical data, forecasts and news - updated on December of 2025.
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TwitterAs of January 29, 2025, the FTSE index stood at ******** points - well above its average value of around ***** points in the past few years.On the 12th of March 2020, amid the escalating crisis surrounding the coronavirus and fears of a global recession, the FTSE 100 suffered the second largest one day crash in its history and the biggest since the 1987 market crash. On the 23rd of March, the FTSE index saw its lowest value this year to date at ******** but has since began a tentative recovery. With the continuation of the pandemic, the FTSE 100 index was making a tentative recovery between late March 2020 and early June 2020. Since then the FSTE 100 index had plateaued towards the end of July, before starting a tentative upward trend in November. FTSE 100 The Financial Times Stock Exchange 100 Index, otherwise known as the FTSE 100 Index is a share index of the 100 largest companies trading on the London Stock Exchange in terms of market capitalization. At the end of March 2024, the largest company trading on the LSE was Shell. The largest ever initial public offering (IPO) on the LSE was Glencore International plc. European stock exchanges While nearly every country in Europe has a stock exchange, only five are considered major, and have a market capital of over one trillion U.S dollars. European stock exchanges make up two of the top ten major stock markets in the world. Europe’s biggest stock exchange is the Euronext which combines seven markets based in Belgium, France, England, Ireland, the Netherlands, Norway, and Portugal.
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Sweden's main stock market index, the Stockholm 30, fell to 2782 points on December 2, 2025, losing 0.11% from the previous session. Over the past month, the index has climbed 0.95% and is up 8.08% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from Sweden. Sweden Stock Market Index - values, historical data, forecasts and news - updated on December of 2025.
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View monthly updates and historical trends for S&P 500 1 Year Return. from United States. Source: Standard and Poor's. Track economic data with YCharts an…
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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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TwitterAs of March 2025, the SSE Composite Index had closed at 3,335.75 points. The index reflects the performance of all stocks traded on the Shanghai Stock Exchange, including both boards, the main board, and the Star market. SSE still number one In the greater Chinese region, the stock exchange in Shanghai was the largest, beating the bourses in Shenzhen, Hong Kong, and Taiwan. In 2023, the Shanghai Stock Exchange recorded a market capitalization of over 6.5 trillion. Not only market capitalization was a unique attribute, but the Shanghai Stock Exchange was also home to the most valuable stock in mainland China, which was the baijiu producer Moutai Kweichow. Limited access Despite its size, the exchange in Shanghai only grants limited access to overseas investors. The bourse listed A-shares and B-shares. While A-shares are denominated in yuan and almost exclusively available for domestic traders, the prices of B-shares are in U.S. dollars and available for overseas investors as well. In addition, the bourse offers access to foreign investors through a trading accreditation which is supervised by the Chinese authorities. However, these tight controls are the reason why Hong Kong, despite its lower relative market capitalization, remains an important gateway to capital for mainland Chinese companies.
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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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TwitterThis table contains 25 series, with data for years 1956 - present (not all combinations necessarily have data for all years). This table contains data described by the following dimensions (Not all combinations are available): Geography (1 items: Canada ...), Toronto Stock Exchange Statistics (25 items: Standard and Poor's/Toronto Stock Exchange Composite Index; high; Standard and Poor's/Toronto Stock Exchange Composite Index; close; Toronto Stock Exchange; oil and gas; closing quotations; Standard and Poor's/Toronto Stock Exchange Composite Index; low ...).
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Key information about India Sensitive 30 (Sensex)
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View monthly updates and historical trends for S&P 500 Monthly Return. from United States. Source: Standard and Poor's. Track economic data with YCharts a…
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This dataset provides detailed historical data on the US stock market, covering the period from 21st November 2023 to 2nd February 2024. It includes daily performance metrics for major stocks and indices, enabling investors, analysts, and researchers to study short-term market trends, fluctuations, and patterns.
The dataset contains the following key attributes for each trading day:
Date: The trading date.
Ticker: Stock ticker symbol (e.g., AAPL for Apple, MSFT for Microsoft).
Open Price: The price at which the stock opened for trading.
Close Price: The price at which the stock closed for trading . High Price: The highest price reached during the trading session.
Low Price: The lowest price reached during the trading session.
Adjusted Close Price: The closing price adjusted for splits and dividend payouts.
Trading Volume: The total number of shares traded on that day.
Time Period: Covers daily data for over two months of trading activity.
Market Scope: Includes data from a diverse set of stocks, industries, and sectors, reflecting the broader US market trends.
Indices and Major Stocks: Tracks key indices (e.g., S&P 500, NASDAQ) and major stocks across various sectors .
Analyzing short-term market performance trends. Developing trading strategies or backtesting investment models. Exploring the impact of macroeconomic events on stock performance. Studying sector-wise performance in the US stock market.
The data has been sourced from publicly available market records, ensuring reliability and accuracy. Each data point represents an official trading record from the respective exchange.
The dataset is intended for educational, analytical, and research purposes only. Users should be mindful of potential market anomalies or external factors influencing data during this time frame.
Special thanks to the organizations and platforms that make financial market data accessible for analysis and research.
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View monthly updates and historical trends for S&P 500. from United States. Source: Standard and Poor's. Track economic data with YCharts analytics.
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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.