Overview
SPY market data
Price History
SPY price chart · 1M
- O
- 768.49
- H
- 772.32
- L
- 767.16
- C
- 770.44
- Vol
- 867,850.00
- Source
- US equities market feed
- Observed
- Aug 27, 2026, 12:00 AM
- Cadence
- Five-minute page cache; daily and stored hourly bars
- Status
- fresh
Key Stats & Performance
- Open
- $768.49
- Previous Close
- $765.94
- Day High
- $772.32
- Day Low
- $767.16
- 52 Week High
- $779.37
- 52 Week Low
- $706.62
- 7 Day Return
- +1.03%
- 30 Day Return
- +4.00%
- 90 Day Return
- +2.13%
- 1 Year Return
- +8.55%
- Daily Notional Volume
- $668.6M Latest daily bar volume multiplied by its closing price.
Valuation & Profitability
- P/E (TTM)
- — Trailing twelve-month price-to-earnings ratio. Higher means the market is pricing in more growth. Negative or missing when earnings are negative.
- Forward P/E
- — P/E based on consensus forward EPS estimates. Lower versus trailing implies expected earnings growth.
- EPS (TTM)
- — Diluted earnings per share over the trailing twelve months.
- Beta
- 1.02 Volatility relative to the index. 1.00 equals market, above 1 amplifies the broad-market move, below 1 dampens it.
- Dividend Yield
- — Annual dividend per share divided by current price. Zero or blank when the company does not pay a dividend.
- Profit Margin
- — Net income divided by revenue. Comparable within a sector, less so across sectors.
- 52w range
- $629.28 – $779.37 Lowest and highest closing prices over the past 52 weeks.
- Analyst Target
- — Mean of sell-side analyst 12-month price targets. Use as a sentiment gauge; targets are biased upward in aggregate.
Display-only. Refreshed once per symbol per 24 hours · market cap —.
Fund & Macro News
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