S&P 500

103 articles
Investing.comInvesting.com··Brian Gilmartin

S&P 500 Faces Historical Cooling After Three-Year Rally, Data Warns

S&P 500 faces historical return moderation after 2023-2025 rally. Iran conflict and oil volatility disrupt emerging market rotation, potentially requiring extreme fear for sustainable market bottom.
HBTPFCGIEemerging marketsS&P 500
The Motley FoolThe Motley Fool··Matt Frankel, Cfp

S&P 500 Hits Lowest Point Since November as Stagflation Fears Surge

S&P 500 hits lowest level since November amid stagflation fears, weak growth, and surging oil prices driven by Iran conflict tensions.
NVDAMETAMSFTAMZNGOOG+2inflationeconomic growth
Investing.comInvesting.com··Adam Turnquist

Oil Surges on Iran Tensions as Markets Weigh Geopolitical Risk Against Economic Resilience

WTI crude spikes near $120 on Iran tensions; S&P 500 resilient at 3% below records. Strait of Hormuz shipping status critical for determining oil prices and market direction.
XHYTXOEFS&P 500oil prices
The Motley FoolThe Motley Fool··Justin Pope

Three S&P 500 Dividend Giants Hit 27% Lows—A Buying Opportunity for Long-Term Investors

Three S&P 500 dividend stocks—Coca-Cola, Domino's Pizza, Home Depot—have declined up to 27%, creating potential opportunities for long-term buy-and-hold investors seeking compounding dividend growth.
KOHDDPZS&P 500dividend stocks
BenzingaBenzinga··Rishabh Mishra

Stock Futures Fall Despite Trump's Iran Claims as Energy Rallies, Tech Earnings Loom

S&P 500 and Dow futures declined Thursday amid geopolitical tensions. Bumble surged 22.89% on earnings; Morgan Stanley dropped 1.80% after redemption restrictions; Adobe fell pre-earnings.
SPYQQQMSMSpAMSpE+11earningsstock market
The Motley FoolThe Motley Fool··Sean Williams

Englander's $9.93B Bet: Why Millennium's Largest Holding Signals Ultra-Safe Investing

Billionaire Israel Englander makes iShares Core S&P 500 ETF ($IVV) Millennium Management's largest $9.93B holding, validating passive index investing's superiority over active management.
IVVS&P 500ETF
Investing.comInvesting.com··Michael Kramer

Market Stress Signals Flash as Rates, Oil Surge Despite Flat S&P 500

S&P 500 flat despite rising Treasury yields above 3.65% and 4.23%, while widening credit spreads and negative currency swaps signal hidden market stress.
USDUHBTPFS&P 500oil prices
BenzingaBenzinga··Prnewswire

Realty Income Marks 134th Straight Dividend Hike, Raising Monthly Payout to $0.2705

$O marks 134th consecutive dividend increase to $0.2705/share, reinforcing its position as the market's most consistent REIT dividend payer.
OS&P 500dividend increase
The Motley FoolThe Motley Fool··Matthew Benjamin

JPMorgan Warns of 10% Market Correction as Middle East Tensions Persist

JPMorgan projects 10% S&P 500 correction from January peaks as Middle East tensions persist, noting insufficient investor de-risking despite recent optimism.
AMJBJPMJPMpCJPMpDJPMpJ+4stock marketS&P 500
Investing.comInvesting.com··Michael Kramer

S&P 500 Faces Widening Trading Range as Technical Momentum Falters

S&P 500 faces technical deterioration with 24 declines in 36 days, while software sector drops over 30%. Oracle reports negative free cash flow, signaling broader sector weakness.
ORCLORCLpDIGVS&P 500technical analysis
Investing.comInvesting.com··Tim Ord

S&P 500 Put/Call Ratios Signal Market Base Formation as Gold Stocks Surge

Technical indicators suggest S&P 500 is stabilizing with potential rally ahead, while gold stocks enter major cycle rally potentially extending to 2036.
SPYGDXS&P 500technical analysis
The Motley FoolThe Motley Fool··Anthony Di Pizio

Small-Cap Surge: Russell 2000 Beats S&P 500 as Rate Cuts Lift 2026

Russell 2000 outpaces S&P 500 in 2026, up 4.3% YTD. Fed rate cuts and domestic policy favor small-caps with floating-rate debt.
HLHLpBBEVTWOCDE+1data centerS&P 500
BenzingaBenzinga··Erica Kollmann

Magnificent Seven Concentration Fears Overblown, History Shows

Market concentration in mega-cap stocks mirrors 1930s-60s patterns. Research shows concentration doesn't predict risk or returns.
NVDAMETAMSFTAMZNGOOG+3valuationS&P 500
The Motley FoolThe Motley Fool··Bram Berkowitz

Iran Tensions Reignite Market Volatility: What History Reveals About War and Stock Returns

Iran conflict creates market uncertainty. Historical data shows S&P 500 losses before wars, but gains during conflict periods. Oil price surge poses greatest economic risk.
XHYEVBVVS&P 500oil prices
The Motley FoolThe Motley Fool··David Dierking

VOO vs. RSP: Which S&P 500 Strategy Fits Your Portfolio in 2026?

VOO's tech-heavy 33% allocation outperformed in growth markets but lags as 2026 sees sector rotation. RSP's equal-weight approach offers better diversification and recent outperformance.
RSPVOOportfolio allocationS&P 500
Investing.comInvesting.com··Michael Kramer

S&P 500 Volatility Eases Amid Geopolitical Relief, but Liquidity Risks Linger

S&P 500 rebounds from Monday selloff as Iran tensions ease, though underlying liquidity pressures from T-bill settlements and dollar tightening persist.
USDUHBTPFinflationS&P 500
The Motley FoolThe Motley Fool··David Dierking

Nasdaq-100 ETFs Face 2026 Headwinds Despite Tech's Long-Term Growth Promise

Nasdaq-100 ETFs lag in 2026 despite tech's projected strongest sector growth through 2027; S&P 500 ETFs better for short-term investors.
QQQQQQMVOOvaluationAI investment
The Motley FoolThe Motley Fool··Trevor Jennewine

S&P 500 Flashes Red Signals as Valuation Concerns Meet Economic Slowdown

S&P 500 down 3% from highs amid record valuations and weakening growth. Historical patterns suggest potential 20% decline by 2028.
NVDAMETAMSFTAMZNGOOG+2consumer spendingeconomic growth
Investing.comInvesting.com··Michael Kramer

Oil Surge Past $100 Threatens Stock Rally as Inflation Fears Resurface

S&P 500 dropped over 1% as oil prices exceeded $100, compounded by weak jobs data. Rising energy costs threaten inflation outlook and credit market stability.
QQQMRSSLHYGinflationS&P 500
Investing.comInvesting.com··Declan Fallon

U.S. Indices Hold Range Boundaries as Technical Breakdown Looms

U.S. stock indices hold technical ranges despite weakness, with analysts warning of imminent breakdowns creating sharp trading opportunities amid whipsaw risks.
QQQMRSSLS&P 500technical analysis