Why S&P 500 (SP500) moves
15 explained moves, each written the day it happened. Trade SP500 →
- +0.90%
Smaller August deficit eases Treasury supply concerns
- +1.08%
Rate-hike bets fade; S&P 500 best day in month
- +1.13%
Fed rate-hike doubts ease broad market pressure
- -0.84%
UK tax threat & oil concerns dent global risk tone
- +0.98%
Jobless claims fall, beating forecasts
- -0.98%
Australia PMI softness, cost surge weigh risk
- -0.93%
20-month bond yield highs pressure broad market
- +0.77%
US AA+ affirmation removes sovereign downgrade risk
- +2.04%
Hormuz deal hopes, jobs data drive rally
- +1.94%
Weak jobs data eases Fed pressure, boosts equities
- +1.21%
Oil drop & Iran de-escalation lift broad risk
- +1.67%
June inflation decline unlocks broader rally
- -1.45%
Fed divide fuels U.S. rate uncertainty
- -1.70%
Fed holds steady; three vote to hike rates
- -0.80%
State regulators force Big Tech AI grid funding burden