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Spdr S&p 500 Etf ETF News

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$737.76
+12.33 (+1.70%)
At Close: Jun 11, 2026
This article provides an update on the monthly moving averages we track for the S&P 500 and the Ivy Portfolio after the close of the last business day of the month. The Ivy Portfolio The Ivy Portfol
The S&P 500 ended 2025 with four consecutive daily losses but still finished the year strong with an annual gain of 16.4%. Here is a snapshot of the index from the past week: The table below summariz

Experts Expect Muted S&P 500 Returns In 2026

01:06pm, Monday, 05'th Jan 2026
Wall Street has been in the midst of an AI-inspired tear for more than three years now, with the S&P 500 closing out 2025 with further double-digit gains. But could 2026 be shaping up to become the in
Wall Street rallies to start 2026 with Dow up 707 points. Energy sector leads with 2.63% gain on Venezuela rebuild hopes.
US indices look to recover on Monday despite military action over the weekend.
S&P 500 futures rise as Chevron surges 6%, Exxon gains 2% on Venezuela rebuild hopes. Halliburton and SLB jump 7%.
Even with the bear markets and recessions, the SPDR S&P 500 ETF (SPY) has produced quadruple-digit returns over its lifetime.
Stock News Safe havens jump after Venezuela shock: Gold and silver surged while defense names advanced as investors reacted to the U.S. capture of Venezuela's N
Gold (GLD) and the dollar moved higher after the US stepped in over the weekend to remove Venezuela's President Nicolas Maduro, as markets began to price in fre
Current market valuations are near dot-com bubble highs, especially in AI leaders, where the P/S are just extreme. The fact that we have entered 2026 with an active 3-year bull run does not help eithe
Chevron is thought to be the only US global integrated oil company still operating in Venezuela, at least relative to its original facilities. In 2025, energy sector EPS fell (or is expected to fall -
U.S. stock futures rose in the first full trading week of the year on Monday after closing mixed on Friday. Futures of major benchmark indices were higher.
DYNF is an actively managed factor rotation ETF with a 0.26% expense ratio and $31B in assets under management. Factor emphasis is assigned based on the perceived economic regime. Currently, DYNF appe
Most retirees focus on the wrong metric - and it could cost them everything. This income framework turns volatility into an advantage. A single portfolio shift could dramatically reduce retirement str

Why IGA Remains My Pick Over SPY For 2026

07:26am, Saturday, 03'rd Jan 2026
Voya Global Advantage and Premium Opportunity Fund nearly matched SPY's 2025 total return, delivering 17.2% with lower volatility and a smoother ride. IGA's value bias, international diversification,
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