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S&P 500 vs World

S&P 500 vs Developed ex-US, Emerging, and China — relative return, rebased to 0% at the window start. Opens on the past 3 months; range buttons switch to 1M / YTD / 1Y / All.

S&P 500+10.0%
−5.8 pts behind
−5.3 pts behind
−17.9 pts behind
Range+9.97%

Market indicators

Valuation + sentiment · updated daily · hover ? for detail. Bands are rules of thumb, not advice.

Shiller P/E (CAPE)

2026-07-09

42.0

Extreme historic high

avg 21 · range 7–44

S&P 500 P/E (LTM)

2026-07-09

32.5

Above avg +1.9σ

avg 19 · since 1871

S&P 500 forward P/E

2026-06

22.5

Expensive +2.3σ

avg 16 · ~40-yr (since ~1985)

Developed ex-US P/E

2026-06

LTM

18.9

Expensive +3.8σ

FWD

15.1

Fair +0.7σ

Emerging mkts P/E

2026-06

LTM

18.3

Expensive +4.3σ

FWD

13.4

Overvalued +1.6σ

China P/E

2026-06

LTM

13.8

Fair +0.5σ

FWD

11.2

Fair +0.2σ

Treasury Rates

2026-07-09

4-week

10-year

4.54%

Fear & Greed Index

2026-07-10

49 / 100

Neutral

Dollar index (DXY)

2026-07-10

100.97

Berkshire cash

2026-03-31

56.6%

Historic extreme

Most popular

How this is ranked

Each public-portfolio holder contributes their % of portfolio in this stock. We sum across holders, then divide by √(market cap in $B + 0.1) so microcap conviction isn't drowned by mega-caps that everyone holds a little of. Min 0.5% per-holder allocation to filter dust; private portfolios excluded.

Not enough public holdings yet. Once a few more portfolios go public this rail will populate.