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...Although the unit posted an adjusted earnings margin of 8 per cent in its latest quarter, analysts at S&P Global Ratings said in April that “Avon continues to underperform in the third year of the turnaround...
...Thus only a fraction of overall AUM is deployed in strategies that have a direct impact on the VIX® index (e.g. 1-month over/underwriting strategies on the S&P 500 index)....
...Even inside the S&P 500 there is a stark performance disparity between the biggest stocks and the rest....
...This matched a wider trend in which S&P 500 spending on buybacks fell 14 per cent on the previous year....
...“It is a coming of age,” said Howard Silverblatt, senior index analyst at S&P, of the dividend announcement....
...He did gain a seat on the P&G board after a very close vote and recount....
...For instance, just one tech company’s recent gains added the equivalent of the market capitalization of the bottom 100 companies in the S&P 500, and the size of the crypto market doubled since last fall....
...The Mag 7 re-invests 60% of their cash flow from operations through growth capex and R&D. This reinvestment rate is more than double the 26% of the Tech Bubble 5 and about 3x that of the S&P 493....
...In 2021, S&P started publishing numbered scores from 1 to 5 for the three E, S and G categories as part of corporate credit scores....
...That compares with 6.8 per cent at Volkswagen, on S&P Capital IQ estimates. Being big also means that necessary investments, in new models and R&D, are less of a drag....
...Payments company Visa, for example, had received a two for “E” and “S” and a three for “G”....
...Back in May, when the staples sell-off began, yields for S&P 500 staples were about 2.5 per cent on average, only a bit better than the wider market....
...We were curious to see how Mullarkey’s chart looks broken into this year’s main two trading regimes — before and after the S&P 500 peaked on July 31....
...Business and consumer confidence also expanded with the closely watched S&P PMI survey indicating private sector activity grew at the fastest pace in eight months in January....
...Today, about 70 per cent of companies in the S&P 500 stocks index pay a dividend, but generally a slender one....
...The most recent one — P&G in 2017 — marked one of the largest, most expensive and most dramatic proxy battles of all time, with Peltz claiming a board seat by a whisker following a recount....
...Also, UK Finance publishes its monthly card-spending statistics US: NAHB Housing Market Index Conference: S&P Global’s CERAWeek energy industry gathering, with speakers including ExxonMobil’s chair and...
...His year-end target for the S&P 500 is 4,200 points — about 5 per cent below its current AI-stirred level — because of aggro from the Federal Reserve and Vladimir Putin....
..., UK, US: S&P Global/HCOB services purchasing managers’ index (PMI) figures Indonesia: Q4 GDP figures Mexico: Constitution Day holiday....
...This means that the S&P 500 relies to an even greater extent on hope rather than fundamentals....
...Of this gamma supply, ~70% is on the S&P 500/SPY options,~25% is in Nasdaq/QQQ, and the remainder is a variety of index/ETF exposures (mainly Russell 2000, MSCI EAFE, and MSCI EM) and single names (mainly...
...to S&P Global Ratings’ definitions....
...Thus we would expect to see the S&P 500 trading above the aggregate value of its tangible assets....
...That compares with 0.2 per cent for the Stoxx 600 ex-UK and 0.7 per cent for the S&P 500. AJ Bell has revealed that cash accounts for 13.3 per cent of its retail customer assets....
...Subscribers rose to a peak of 3.41mn in 2019’s accounts, but this figure was restated as just shy of 2mn in 2020’s accounts, and then as 1.1mn in 2021’s accounts....
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