S&P 500
United States- Trend
- for 118 sessions
- Gap to 200-day MA
- +7.0%
Usually two things: knowing what to look at, and being guided through the first steps. Projet M gives you three simple indicators on the major markets, every evening, so you can decide with a clear head without drowning in information.
Investing carries a risk of capital loss. Projet M does not provide investment advice.
Three indicators, not thirty: trend, valuation and the global climate. Each one explained on a real example, updated every evening.
Step-by-step guidance for your first decisions: write your own rules, keep track of your choices, step back when markets get agitated.
Your home page tracks four indices that cover most of the market. Here is the S&P 500 as it appears every evening. The other three follow the same format.
The 500 largest US companies. The most watched benchmark in the world.
The 100 largest non-financial companies on the Nasdaq, led by technology.
The 50 largest companies in the euro area. The benchmark for our home market.
About 1,400 companies from 23 developed countries. The index that “World” ETFs replicate.
Applied to the example above: the S&P 500 as of Sep 24, 2026.
We compare the latest close with its moving average over the last 200 sessions (200-day MA). A 1% buffer keeps the state from flipping on every small move.
Result: uptrend, for 118 sessions.
The current P/E is compared with its own 10-year average: a P/E of 30 is common for the Nasdaq, not for the KOSPI. The “normal” zone covers ±1 standard deviation (σ).
Result: high valuation, +1.22 σ from its average.
The share of the 9 tracked markets that are in an uptrend. The big picture, in one number.
Result: global trend 8/9. S&P 500 trend: uptrend.
No buy or sell recommendation. The decision stays yours.
One update a day, after the close. Intraday noise doesn’t help you decide.
Blue, amber and grey. Nothing flashes red.
Every indicator shows its source, method and date.
Free, by invitation. An email and a password, or your Google account.