S&P Global (SPGI)

S&P 500 · Financials · data since 1973-02-21 · last close 2026-07-24

1d
+1.52%
7d
-5.42%
30d
+12.02%
YTD
-13.35%
1y
-14.39%

S&P Global (SPGI) monthly returns (%)

YearJanFebMarAprMayJunJulAugSepOctNovDec
20261.0-16.1-3.71.4-1.4-4.010.7·····
20254.72.5-4.8-1.62.82.84.5-0.3-11.30.12.64.8
20241.8-4.3-0.7-2.33.04.38.76.10.7-7.09.0-4.7
202311.9-8.81.15.21.69.1-1.6-0.7-6.5-4.419.35.9
2022-12.0-9.39.2-8.2-7.0-3.511.8-6.3-13.35.210.1-5.1
2021-3.64.17.110.6-2.68.24.53.7-4.311.6-3.73.5
20207.6-9.3-7.819.511.21.46.34.8-1.6-10.59.2-6.5
201912.84.85.14.8-2.86.57.56.5-5.85.32.83.2
20186.96.2-0.4-1.35.03.2-1.73.5-5.6-6.70.6-7.1
201711.88.11.02.66.72.25.20.81.30.16.02.4
2016-13.86.010.38.05.0-4.113.91.42.4-3.7-2.1-9.6
20150.515.60.30.9-0.2-3.21.3-4.3-10.87.14.52.2
2014-2.85.2-4.2-3.111.01.5-3.41.54.17.13.6-4.8
20135.2-18.611.93.91.3-2.516.3-5.212.46.27.35.0
20122.31.74.21.4-11.33.74.49.66.61.3-3.57.8
20117.1-0.11.92.75.6-1.3-0.71.9-2.63.71.15.3
20105.8-2.94.2-5.4-16.91.29.1-9.119.613.9-7.85.6
2009-5.2-9.315.931.80.50.14.18.0-25.214.54.911.8
2008-2.4-3.8-9.710.91.8-3.31.45.9-26.2-15.0-5.8-7.2
2007-1.4-3.5-2.64.27.6-3.2-11.1-16.30.9-1.7-1.5-10.7
2006-1.14.48.5-3.4-7.0-2.712.1-0.43.810.64.22.1
2005-1.11.9-5.0-0.20.51.44.05.2-0.41.98.7-2.7
20047.34.6-2.63.6-0.8-1.7-2.01.35.28.22.14.3
2003-2.0-4.6-1.25.08.7-1.9-2.00.81.97.82.72.1
20025.13.13.7-6.2-0.9-5.44.81.8-3.55.4-7.71.9
20018.9-7.31.28.6-0.63.1-7.2-3.1-1.8-9.77.97.9
2000-9.0-8.8-10.615.4-1.65.010.14.62.61.0-16.910.3
19996.11.6-0.41.4-5.74.0-5.72.0-6.423.3-4.68.7
1998-5.78.90.61.81.54.20.5-6.03.913.5-0.113.8
19977.95.0-1.4-0.58.37.415.3-9.110.4-3.45.28.1
19962.1-1.1-0.71.77.0-2.4-14.86.04.010.0-2.21.4
1995-2.89.41.84.0-0.02.51.33.23.80.13.04.0
19942.42.6-7.3-0.42.20.84.51.05.22.0-8.4-1.5
19930.2-3.37.9-4.1-3.81.710.86.0-1.49.6-5.3-3.0
19922.41.25.35.0-5.1-5.5-2.23.21.31.92.41.2
19917.61.23.11.96.6-5.8-5.7-2.1-5.35.1-3.411.1
1990-0.2-5.4-0.2-1.25.82.7-1.8-10.3-10.26.84.98.0
198911.8-6.84.810.7-7.71.610.25.0-7.8-13.3-1.9-8.8
19886.713.1-6.7-3.04.36.913.01.85.3-4.3-7.21.6
198717.69.2-7.5-5.06.06.411.34.2-0.8-30.4-10.3-0.8
19861.813.88.1-10.315.9-3.2-4.85.0-9.14.26.9-8.6
19855.3-0.3-2.22.911.4-2.0-4.3-5.6-3.11.27.83.8
1984-5.9-1.3-5.17.4-5.612.63.55.4-3.2-8.9-0.34.9
1983-0.38.314.84.8-6.85.6-8.60.612.7-11.80.0-4.0
1982-5.11.00.82.82.2-2.9-1.53.712.911.314.90.0
1981-7.0-3.58.14.78.81.2-2.7-8.2-2.410.38.0-3.7
19806.2-13.3-0.57.75.44.73.211.410.6-2.58.811.1
197914.4-11.24.52.4-8.01.52.55.4-4.2-3.96.18.6
1978-12.35.28.411.08.2-2.710.63.5-3.9-13.69.44.3
1977-0.73.70.0-1.42.28.6-1.32.7-1.9-0.70.02.7
197612.54.3-0.8-7.40.07.10.81.60.8-9.713.46.3
197531.311.117.114.67.5-5.9-12.69.6-6.622.4-1.92.0
19740.03.624.1-6.9-4.50.0-4.7-6.6-15.80.0-6.36.7
1973·1.0-8.7-15.8-10.0-9.715.4-6.70.00.0-8.6-12.5
Avg2.70.41.92.61.21.02.70.9-1.31.31.71.8

Values in %. Current and first-listed months are partial (greyed).

returnsview.com

Seasonality — average by calendar month

MonthJanFebMarAprMayJunJulAugSepOctNovDec
Avg+2.7%+0.4%+1.9%+2.5%+1.2%+1.1%+2.5%+0.9%-1.3%+1.3%+1.7%+1.8%
Win rate60%/5357%/5454%/5463%/5457%/5459%/5460%/5368%/5343%/5360%/5357%/5366%/53

Win rate = share of positive months / sample size.

Risk & extremes

Max drawdown
-74.7%
Worst peak-to-trough fall on record
Monthly volatility
±7.3%
Std. dev. of monthly returns
Positive months
59%
Share of completed months in the green
Best month
+31.83%
2009-04
Worst month
-30.41%
1987-10
Longest streaks
14▲ / 8▼
Consecutive up / down months

Drawdown & rolling returns

-71%-35%0%

Percent below the all-time high at each month-end — how far underwater the asset was.

About S&P Global

S&P Global moves money around and keeps a slice for the trouble — with price receipts on this site going back to 1973. And the long game: $100 at its first close here (1973) would be about $122,762 today.

Did you know?

  • Its best month on record was April 2009 at +31.83%; its worst, October 1987 at -30.41%.

Trivia for entertainment — the numbers come from our price data; the jokes don't.