Market indices and statistics provide an overall look at a section of the stock market. The indices allow for the ability to gauge performance of portfolios as they are often used as a benchmark relative to the entire market or section of the market which the indices measure.
The AAII Asset Allocation Survey polls members monthly on their current holdings among the five asset categories.
Major AAII Asset Allocation Survey Indicators
Indicator | Period | Value | % CHG PREV |
AAII Bond Fund Allocation | Nov 2024 | 10.58% | 6.10% |
AAII Cash Allocation | Nov 2024 | 16.01% | -2.44% |
AAII Individual Bond Allocation | Nov 2024 | 4.75% | 1.69% |
AAII Individual Stock Allocation | Nov 2024 | 31.50% | 1.89% |
AAII Stock Fund Allocation | Nov 2024 | 37.16% | -2.29% |
AAII Total Bond Allocation | Nov 2024 | 15.33% | 4.70% |
AAII Total Stock Allocation | Nov 2024 | 68.66% | -0.42% |
The AAII Sentiment Survey is a weekly survey of its members which asks if they are "Bullish," "Bearish," or "Neutral" on the stock market over the next six months.
Major AAII Sentiment Survey Indicators
Indicator | Period | Value | % CHG PREV |
US Investor Sentiment, % Bearish | Wk of Dec 19 2024 | 31.43% | -0.75% |
US Investor Sentiment, % Bull-Bear Spread | Wk of Dec 19 2024 | 9.29% | -20.41% |
US Investor Sentiment, % Bullish | Wk of Dec 19 2024 | 40.71% | -6.04% |
US Investor Sentiment, % Bullish 8 Week Moving Average | Wk of Dec 19 2024 | 42.70% | 0.89% |
US Investor Sentiment, % Neutral | Wk of Dec 19 2024 | 27.86% | 11.43% |
Cboe Daily Market Statistics Summary Data.
Major CBOE Daily Market Statistics Indicators
Indicator | Period | Value | % CHG PREV |
CBOE Equity Call Volume | Dec 20 2024 | 2.651M | -- |
CBOE Equity Put Volume | Dec 20 2024 | 1.444M | -- |
CBOE Equity Put/Call Ratio | Dec 20 2024 | 0.54 | -- |
CBOE Equity Volume | Dec 20 2024 | 4.095M | -- |
CBOE Index Call Volume | Dec 20 2024 | 2.376M | -- |
CBOE Index Put Volume | Dec 20 2024 | 3.094M | -- |
CBOE Index Put/Call Ratio | Dec 20 2024 | 1.30 | -- |
CBOE Index Volume | Dec 20 2024 | 5.470M | -- |
CBOE Total Call Volume | Dec 20 2024 | 6.290M | -- |
CBOE Total Put Volume | Dec 20 2024 | 5.840M | -- |
CBOE Total Put/Call Ratio | Dec 20 2024 | 0.93 | -- |
CBOE Total Volume | Dec 20 2024 | 12.13M | -- |
The S&P 500 Index is widely regarded as the leading benchmark of the overall US stock market. Comprised of 500 leading companies, the index is considered the best single gauge of large cap US equities.
Major CBOE SPX Indicators
Indicator | Period | Value | % CHG PREV |
SPX Call Volume | Dec 20 2024 | 1.895M | -- |
SPX Put Volume | Dec 20 2024 | 2.489M | -- |
SPX Put/Call Ratio | Dec 20 2024 | 1.31 | -- |
SPX Volume | Dec 20 2024 | 4.384M | -- |
The Cboe Volatility Index is based on real-time prices of options on the S&P 500 Index and is designed to reflect investors' consensus view of future (30-day) expected stock market volatility. The VIX Index is often referred to as the market's "fear gauge". These revolutionary volatility products can offer investors effective ways to help manage risk, leverage volatility and diversify a portfolio.
Major CBOE Volatility Indexes Indicators
Indicator | Period | Value | % CHG PREV |
Brazil ETF VIX | Dec 20 2024 | 36.02 | 0.78% |
DJIA VIX | Dec 20 2024 | 16.98 | -18.68% |
Emerging Markets ETF VIX | Dec 20 2024 | 17.94 | -9.98% |
EuroCurrency VIX | Dec 20 2024 | 9.97 | 0.00% |
Gold ETF VIX | Dec 20 2024 | 15.73 | -0.63% |
NASDAQ-100 VIX | Dec 20 2024 | 21.49 | -18.38% |
Oil VIX | Dec 20 2024 | 29.27 | -4.03% |
S&P 500 3-Month VIX | Dec 20 2024 | 20.10 | -16.74% |
SKEW | Dec 20 2024 | 161.21 | -1.16% |
VIX | Dec 20 2024 | 18.36 | -23.79% |
Commitments of Traders reports provide a breakdown of each Tuesday’s open interest for futures and options on futures markets in which 20 or more traders hold positions equal to or above the reporting levels established by the Commodity Futures Trading Commission.
Major Commitments of Traders Indicators
The market return used to measure Rm-Rf in the US. It is now the value-weight return of all CRSP firms incorporated in the US and listed on the NYSE, AMEX, or NASDAQ that have (i) a CRSP share code of 10 or 11 at the beginning of month t, (ii) good shares and price data at the beginning of t, and (iii) good return data for t. The set of firms in the new series is more consistent with the universe used to compute the other US returns.
Major Fama/French Market Returns Indicators
Indicator | Period | Value | % CHG PREV |
Fama-French Monthly HML Benchmark Return | Oct 2024 | 0.89 | -- |
Fama-French Monthly Market Benchmark Return | Oct 2024 | -0.97 | -- |
Fama-French Monthly SMB Benchmark Return | Oct 2024 | -1.00 | -- |
The NAAIM Exposure Index represents the average exposure to US Equity markets reported by our members.
Major NAAIM Exposure Index Indicators
Indicator | Period | Value | % CHG PREV |
NAAIM Exposure Index Number | Wk of Dec 18 2024 | 82.50 | -16.87% |
NAAIM Exposure Index: 1st Quartile | Wk of Dec 18 2024 | 60.00 | -32.96% |
NAAIM Exposure Index: 2nd Quartile | Wk of Dec 18 2024 | 100.00 | 0.00% |
NAAIM Exposure Index: 3rd Quartile | Wk of Dec 18 2024 | 100.00 | 0.00% |
NAAIM Exposure Index: Bearish | Wk of Dec 18 2024 | -100.00 | -- |
NAAIM Exposure Index: Bullish | Wk of Dec 18 2024 | -100.00 | -- |
NAAIM Exposure Index: Deviation | Wk of Dec 18 2024 | 55.02 | 8.84% |
The S&P 500 is widely regarded as the best single gauge of large-cap US equities. There is over USD 9.9 trillion indexed or benchmarked to the index, with indexed assets comprising approximately USD 3.4 trillion of this total. The index includes 500 leading companies and covers approximately 80% of available market capitalization.
Major S&P 500 Earnings Indicators
Indicator | Period | Value | % CHG PREV |
S&P 500 Book Value Per Share | Q2 2024 | 1139.31 USD | 2.02% |
S&P 500 Dividend Yield | Jun 2024 | 1.32% | -2.21% |
S&P 500 Earnings Per Share | Q2 2024 | 53.12 USD | 12.14% |
S&P 500 Earnings Per Share | Q2 2024 | 53.12 USD | 12.14% |
S&P 500 Earnings Yield | Q2 2024 | 3.59% | -1.49% |
S&P 500 Level | Q2 2024 | 5460.48 USD | 3.92% |
S&P 500 Market Cap | Jun 2024 | 45.84T USD | 4.00% |
S&P 500 Operating Earnings Per Share | Q2 2024 | 58.36 USD | 6.83% |
S&P 500 Operating Earnings Per Share | Q2 2024 | 58.36 USD | 6.83% |
S&P 500 Operating Earnings Per Share Forward Estimate | Q4 2025 | 72.27 USD | 2.19% |
S&P 500 P/E Ratio | Q2 2024 | 27.87 | 1.51% |
S&P 500 Real Estate Earnings Per Share | Q2 2024 | 1.66 USD | 0.61% |
S&P 500 Real Estate Operating Earnings Per Share | Q2 2024 | 1.71 USD | 2.40% |
S&P 500 Real Estate Operating Earnings Per Share Forward Estimate | Q4 2025 | 1.99 USD | 7.57% |
S&P 500 Sales Per Share | Q2 2024 | 488.71 USD | 3.55% |
Standard and Poor's S&P 500 Monthly and Annual Returns contains data for the returns of the 500 large-capitalization common stocks which are used to produce the S&P 500. Change in price is displayed over a range of periods, from 1 month to 10 years. Total Returns which includes dividends are reported for over a one month and a 12 month period.
Major S&P 500 Returns Indicators
Indicator | Period | Value | % CHG PREV |
S&P 500 Annual Total Return | 2023 | 26.29% | -- |
S&P 500 Monthly Return | Nov 2024 | 5.73% | -- |
S&P 500 Monthly Total Return | Nov 2024 | 5.87% | -- |
Robert Shiller has collected data on the S&P 500 and the Consumer Price Index. This report contains that data as well as the Cyclically Adjusted Price Earnings (CAPE) Ratio of the S&P 500.
Major Shiller S&P 500 PE 10 Indicators
Indicator | Period | Value | % CHG PREV |
S&P 500 | Sep 2024 | 5520.07 USD | 0.76% |
S&P 500 Dividend | Jun 2024 | 71.98 USD | 0.54% |
S&P 500 Earnings | Jun 2024 | 196.76 USD | 0.92% |
S&P 500 Real Dividend | Jun 2024 | 72.12 USD | 0.50% |
S&P 500 Real Earnings | Jun 2024 | 197.16 USD | 0.88% |
S&P 500 Real Price | Sep 2024 | 5520.07 USD | 0.73% |
S&P 500 Shiller CAPE Ratio | Sep 2024 | 35.23 | 0.64% |
S&P 500 Shiller Excess CAPE Yield | Sep 2024 | 1.83% | 0.39% |
US Consumer Price Index | Sep 2024 | 314.81 | 0.03% |
US Long-Term Interest Rates | Sep 2024 | 3.84% | -0.78% |
The Thrift Savings Plan is a retirement savings plan offered to private sector employees. A wide selection of funds are available with differnet objectives, investment strategies, and composition depending on the client's risk tolerance and objective.
Major Thrift Savings Plan Monthly Returns Indicators
Indicator | Period | Value | % CHG PREV |
Thrift Savings Plan C Fund Monthly Returns | Nov 2024 | 5.87% | -- |
Thrift Savings Plan F Fund Monthly Returns | Nov 2024 | 1.14% | -- |
Thrift Savings Plan G Fund Monthly Returns | Nov 2024 | 0.36% | 9.09% |
Thrift Savings Plan I Fund Monthly Returns | Nov 2024 | -0.01% | -- |
Thrift Savings Plan L 2030 Fund Monthly Returns | Nov 2024 | 2.94% | -- |
Thrift Savings Plan L 2040 Fund Monthly Returns | Nov 2024 | 3.45% | -- |
Thrift Savings Plan L 2050 Fund Monthly Returns | Nov 2024 | 3.88% | -- |
Thrift Savings Plan L Income Fund Monthly Returns | Nov 2024 | 1.51% | -- |
Thrift Savings Plan S Fund Monthly Returns | Nov 2024 | 11.97% | 1.93K% |
Upcoming Reports
Report Name | Next Released |
|
Dec 23 2024, 20:00 EST |
|
Dec 23 2024, 20:00 EST |
|
Dec 23 2024, 23:00 EST |
|
Dec 26 2024, 10:00 EST |
|
Dec 26 2024, 12:00 EST |
|
Dec 27 2024, 15:30 EST |