S&P 500 Dashboard
Market health indicators · DCA calculator · Earnings overview · Mock data
Shiller P/E (CAPE)
34.2
Overvalued
Significantly above the historical average of 16–17. Elevated but has stayed high for years in low-rate environments.
Hist. avg 16.8 · 2000 peak 44.2 · 2009 low 13.3
VIX — Volatility Index
18.4
Elevated
Above the calm-market threshold of 15. Markets pricing in moderate uncertainty over the next 30 days.
Calm <15 · Concern 15–25 · Fear >30
Fear & Greed Index
42
Fear
Composite of 7 indicators including momentum, safe-haven demand, and put/call ratios. Contrarian signal — fear often precedes recoveries.
Extreme Fear <25 · Neutral 45–55 · Extreme Greed >75
Buffett Indicator
182%
Warning
Total market cap vs. GDP. Above 100% indicates overvaluation by Buffett's metric. Currently in historically stretched territory.
Fair value ~100% · 2000 peak 153% · 2022 peak 195%
Forward P/E (NTM)
20.8
Caution
Next-12-months earnings estimate. Above long-term average (~16) but justified by mega-cap tech growth. Watch for estimate revisions.
Avg 15–17 · Current earnings yield 4.8%
Yield Spread (10Y–2Y)
+0.21%
Normal
Curve has re-steepened after prolonged inversion. Historically, recession follows 6–18 months after un-inversion — watch credit spreads.
Inverted Oct 2022–Dec 2024 · Now normalizing
Invested vs. Gains
Invested 59%
Gains 41%
Assumes monthly compounding. Past performance does not guarantee future results.
S&P 500 historical average ~10% nominal, ~7% inflation-adjusted.
| Ticker |
Company |
Weight |
Price |
EPS Est. |
YoY Rev. |
P/E |
Earnings Date |
Signal |