US Stock Market Indexes

The US Market Composite Indexes publication from Bull Laboratories (BullLabs.com) is a collection of stock market composite indexes that includes more than six hundreds public trading companies and ADRs with the largest market capitalizations on the NYSE, NASDAQ, AMEX stock exchanges and the OTCBB (Over-The-Counter Bulletin Board). The group of indexes currently contains 634 stocks from 11 sectors categorized into 69 industries, with the composition weight of each component adjusted periodically based on its market capitalization.

In additional to standard pricing and volume data, other financial data and numbers for each sector and industry are also derived and calculated based on the numbers and allocations of its underlying components. For example, the EPS (earning per share) an industry is obtained by summing up the EPS numbers of each component multiplied by number of shares in the holding. This allows investors to benchmark the performance of investment based on specific stock market sectors or industries.

Intraday index pricing and volume data are calculated based on real time market data. Other financial data and characteristics are derived on a daily basis after market close. Subscribed users have access to up-to-date and detailed index data as well as unlimited download of historic numbers and charts.

5/19/2022 US Market Index

$1,730,180    Change: +0.06%    Open: $1,715,651    High: $1,753,796    Low: $1,699,912
Health Care
 
 
  0.63%
Communication Services
 
 
  0.63%
Materials
 
 
  0.56%
Energy
 
 
  0.15%
Utilities
 
 
  0.13%
US Market
 
 
  0.06%
Financials
 
 
  -0.01%
Consumer Discretionary
 
 
  -0.04%
Industrials
 
 
  -0.04%
Real Estate
 
 
  -0.28%
Information Technology
 
 
  -0.90%
Consumer Staples
 
 
  -1.20%
Index Value: $1,730,180   +0.06%
Volume: 174.78B   Average Volume (3 month): 160.21B
Market Capitalization: $2.13Q
EBITDA: $452.72T
PEG Ratio (5 year Expected): 9.51
Dividend Yield: 1.99%
Dividend Rate: $46,169
Dividend Yield (Forward): 1.65%
Dividend Rate (Forward): $32,322
Shares Outstanding: 40.49T
Book Value: $4.56M
Short Ratio: 1.72
Price Target (1 year): $2.90M
ROI % in Periods
Market Sector 1D 1W 1M 3M 6M 1Y 5Y
Health Care 0.63 0.91 -7.87 0.22 -2.03 0.05 57.66
Communication Services 0.63 3.36 -19.84 -25.41 -41.52 -36.04 -5.70
Materials 0.56 0.87 -9.92 -9.78 -10.24 -12.95 52.41
Energy 0.15 4.35 0.25 12.78 39.69 49.70 43.58
Utilities 0.13 1.47 -6.05 5.19 2.19 7.46 66.33
US Market 0.06 0.08 -12.21 -10.57 -17.49 -11.39 49.97
Financials -0.01 0.75 -13.13 -16.67 -20.18 -9.52 16.51
Consumer Discretionary -0.04 -0.44 -21.09 -22.46 -35.63 -29.12 66.41
Industrials -0.04 -0.44 -11.01 -6.48 -15.24 -6.01 49.40
Real Estate -0.28 -0.33 -15.63 -7.14 -13.35 -4.03 27.45
Information Technology -0.90 0.70 -12.56 -15.99 -27.26 -11.60 71.36
Consumer Staples -1.20 -4.44 -9.38 -11.86 -10.06 -9.78 17.94
Market Sector Value Gain Volume Vol. Str. Weight
Health Care 538,508 +0.63% 16.81B 0.90 13.29%
Communication Services 105,315 +0.63% 11.26B 0.85 11.87%
Materials 25,150 +0.56% 3.94B 1.13 3.69%
Energy 26,421 +0.15% 5.57B 0.75 6.41%
Utilities 54,765 +0.13% 2.11B 0.88 2.62%
US Market 1,730,180 +0.06% 174.78B 1.09
Financials 215,127 -0.01% 35.95B 1.20 11.86%
Industrials 231,581 -0.04% 12.97B 0.90 7.10%
Consumer Discretionary 253,992 -0.04% 24.84B 1.05 10.75%
Real Estate 21,140 -0.28% 1.37B 0.95 2.20%
Information Technology 68,384 -0.90% 20.19B 1.42 23.34%
Consumer Staples 189,797 -1.20% 39.78B 1.28 6.86%
Market Sector Market Cap Div Yield PEG Ratio
Health Care $488.21T 2.88% 6.51
Communication Services $161.59T 0.70% 2.83
Materials $30.23T 3.63% 0.58
Energy $62.26T 2.97% 0.88
Utilities $29.21T 2.68% 4.57
US Market $2.13Q 1.99% 9.51
Financials $297.82T 2.79% 0.99
Industrials $128.53T 1.37% 1.15
Consumer Discretionary $285.00T 2.05% 57.38
Real Estate $10.04T 2.32% 24.20
Information Technology $258.26T 1.20% 1.90
Consumer Staples $379.18T 2.67% 2.51