S&P 500 7707.98 +0.21%
S&P 500 closed at 7707.98 (+0.21% on the day). Over the last month it is +2.65%, over the last year +19.52%. It sits 1.17% below the 52-week high of 7798.99 (52-week low 6343.72).
Price holds above both the 50-day and 200-day averages — the market's own trend vote is constructive on both horizons.
- · 7691.76 → 7707.98 (+0.21% since v4)
S&P 500 closed at 7707.98 (+0.21% on the day). Over the last month it is +2.65%, over the last year +19.52%. It sits 1.17% below the 52-week high of 7798.99 (52-week low 6343.72).
Trend: price is ABOVE the 200-day average (7087.61) and above the 50-day (7527.81) — trend strength (R², 90d) 0.64, direction up.
Volatility: 30-day realized vol is 12.23% annualized, the 36th percentile of this asset's own history — a normal tape. Short-horizon behavior leans no clear_bias.
Structure (90 days): range 6816.89 – 7798.99; the most-touched level is 7383.59 (42 touches).
Risk: the deepest drawdown of the last year was 9.1% (2026-01-27 → 2026-03-30); price now sits 1.17% below the trailing-year peak. Worst single session: -2.71% (2025-10-10).
The tape leans constructive: 57% of the last 90 sessions closed up, direction up, short-horizon behavior no clear bias.
Positioning: 1.4 standard deviations above the 90-day mean, 1.17% from the all-time high of this series.
computed from price action, not from opinions or positioning surveys
Price holds above both the 50-day and 200-day averages — the market's own trend vote is constructive on both horizons.
The 1-month move (+2.65%) agrees with the 1-year trend (+19.52%).
Trading within 1.17% of the 52-week high — priced near its best.
analyst-rating feeds are licensed; this section reads the market's own positioning instead
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- · The trend read flips on a daily close below the 200-day average at 7087.61.
- · The volatility read changes if realized vol leaves its current regime (now the 36th percentile).
- · nothing here is a prediction or advice — it is a computed description of end-of-day data