Stock market index
The S&P 1500, or S&P Composite 1500 Index, is a stock market index of US stocks made by Standard & Poor's. It includes all stocks in the S&P 500, S&P 400, and S&P 600. This index covers approximately 90% of the market capitalization of U.S. stocks and is a broad measure of the U.S. equity market.
Other subsets
Standard & Poor's also provides the S&P 900 index (a combination of the S&P 500 index plus the S&P 400 mid-cap index)[2] and the S&P 1000 (the S&P 400 plus the S&P 600 small-cap index).[3]
Versions
The "S&P 1500" generally quoted is a price return index; there is also "total return" version of the index.[citation needed] These versions differ in how dividends are accounted for. The price return version does not account for dividends; it only captures the changes in the prices of the index components.[4] The total return version reflects the effects of dividend reinvestment.
Annual returns
Year |
Price return |
Total return
|
2023 |
23.41% |
25.47%
|
2022 |
-19.12% |
-17.78%
|
2021 |
26.66% |
28.45%
|
2020 |
15.81% |
17.92%
|
2019 |
28.34% |
30.90%
|
2018 |
−6.77% |
−4.96%
|
2017 |
18.80% |
21.13%
|
2016 |
10.65% |
13.03%
|
2015 |
−1.03% |
1.01%
|
2014 |
10.88% |
13.08%
|
2013 |
30.12% |
32.80%
|
2012 |
13.67% |
16.17%
|
2011 |
−0.26% |
1.75%
|
2010 |
14.17% |
16.38%
|
2009 |
24.33% |
27.25%
|
2008 |
−38.16% |
−36.72%
|
2007 |
3.60% |
5.47%
|
2006 |
13.28% |
15.34%
|
2005 |
3.83% |
5.66%
|
2004 |
9.96% |
11.78%
|
[1]
See also
References
External links