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...Contagion is important, and there’s no reason it shouldn’t happen in various ways on social media as it does elsewhere....
...In our view, this probably explains their strong re-rating (forward P/E of 27.2x), and why they are trading at a 110% premium to the STOXX 600 (13.0x)” wrote....
...So I ran some numbers on the S&P constituents, looking at valuation multiples, expected and historical growth rates, and various measures of return on capital....
...You can see it in this chart of the various tenors as a percentage of overall US stock market option volumes — ie S&P 500 index options, ETF options, and single-stock options....
...Looks like S&P Ratings doesn’t find “attestations” especially convincing, either....
...During that time, the S&P 500 is up about 150 per cent....
...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....
...Wall Street’s benchmark S&P 500 was down 0.1 per cent in early trading in New York, as was the tech-heavy Nasdaq Composite....
...the world’s riskiest borrowers, according to S&P Global Ratings....
...The S&P 500 has outstripped some year-end forecasts, at least temporarily, but analysts remain divided on the index’s long-term outlook....
...Ticker symbols have taken on an outsized importance in the exchange traded fund world, where pursuit of the kind of name recognition enjoyed by funds such as SPY, the SPDR S&P 500 ETF, has become the holy...
...The S&P sits at 22 times earnings, the Russell at 27: not in a bubble, but expensive....
...To (gu)estimate that, the IMF used a model based on the political grouping that emerged at the UN during 2022’s Ukraine vote: namely pro-western and anti-western blocs....
...the performance of the S&P 500....
...various possibilities”, said Jonathan Masur, professor at the University of Chicago’s Law School....
...New York Community Bancorp, with $115bn or so in assets, is having serious problems, and the broad market (here represented by the S&P 1500) indifferent: Admittedly the regional bank index is underperforming...
...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....
...Take a look at this: Strictly speaking, the Fidelity 500 Index Fund is not an ETF like State Street Global Advisors’ SPDR S&P 500 ETF Trust (or BlackRock’s iShares Core S&P 500 ETF or Vanguard’s S&P 500...
...As S&P Global Ratings put it late last year: “Higher-for-longer interest rates remain the key risk for real estate assets globally.” US Treasury secretary Janet Yellen is, reassuringly, on it....
...The US S&P 500 wobbled pretty significantly on this week’s hint from the Federal Reserve that it is in less of a hurry to cut interest rates than traders had hoped, but the index is still pinned close to...
...big index like the S&P 500....
...They will be held by Jesse Lynn, the general counsel of Icahn Enterprises, and Steven Miller, who is a portfolio manager at Icahn Capital....
...has outperformed the S&P 500, on the back of the Big Techs....
...But revenue is not the sole reason Meta’s share price is up 140 per cent in the year to date, comfortably outpacing the wider S&P 500 index. Cost- cutting is the real hero....
...It makes it impossible to diversify risks by tracking a broad index such as the S&P, but also tricky to be a stockpicker when only a small clique of stocks is performing well....
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