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At Close: Jun 10, 2026
Long-term ETF investing should remain simple and passive, avoiding frequent strategy changes and unnecessary complexity. Constantly swapping similar ETFs, chasing themes, or using currency hedging oft
Markets are trading at historically expensive levels. Long-term investors shouldn't stop putting money into the market.
Slowing US economic growth, rising oil prices due to US-Iran tensions, and ongoing tariff disputes are creating uncertainty for global markets, increasing inflation risks and putting pressure on curre

PFXF Challenges The S&P 500's Earnings Yield 6%

10:06am, Saturday, 14'th Mar 2026
VanEck Preferred Securities ex Financials ETF offers exposure to non-financial preferreds with a competitive 6.78% yield and monthly distributions. PFXF's exclusion of financials, high duration, and s
ProShares S&P 500 Ex-Technology ETF is a passively managed ETF offering exposure to the S&P 500 without the GICS IT sector. With financials as the top allocation, SPXT is lighter in growth than IVV, w
I'm deploying cash into high-quality BDCs, alternative asset managers, and select ETFs to lock in attractive, sustainable yields after a sentiment-driven selloff. ARES, BX, and BAM offer scale, strong
AI is beginning to disrupt far more industries than most investors expected. As barriers to entry collapse, many businesses could face lower growth and valuations. But one asset class may actually ben
The S&P 500 closed out the week on a four-day losing streak, its longest of 2026 so far. The index finished the week with a loss of 1.6%, its third straight week in the red, and is now 4.96% off its a

What Happens at $200 a Barrel?

06:05pm, Friday, 13'th Mar 2026
U.S. consumer demand has softened due to affordability constraints tightening, from a cumulative rise in Consumer Price Inflation on categories like “Food Away from Home.”
“This time is different” are the four most dangerous words in investing.
The stock market has followed mid-term election-year seasonality reasonably well, and we should expect it to continue to do so. It suggests a low is due around March 13 and a high approximately March
Iran war is reshaping hedging strategies as stocks and bonds fall together. Here are ETF ideas investors are using to navigate stagflation fears and oil shock.
The Strait of Hormuz is a crucial shipping route that can impact international trade. Oil prices have already been spiking due to the conflict in the Middle East.
Middle East tensions may keep markets volatile in the near term. Discover ETFs to buy and hold for long-term growth.

Q4 GDP, Durable Goods Lower than Anticipated

11:36am, Friday, 13'th Mar 2026
Pre-market futures are up following the release of this data, bringing in a spring green a week ahead of the season's change.
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