S&P 500: Strong earnings but stretched valuation risk – NBC

Source Fxstreet

National Bank of Canada (NBC) strategists highlight that the S&P 500 has hit a fresh record high in August, supported by an exceptionally strong Q2 earnings season with roughly 50% year-on-year EPS growth. Yet they warn that forward EPS expectations, especially for Information Technology, are demanding, while a negative equity risk premium versus high long-term U.S. Treasury yields leaves the index sensitive to any earnings disappointment or renewed yield rise.

Earnings strength versus risk premium

"After two consecutive monthly declines, the S&P 500 reached a fresh record high in August. The rebound has undoubtedly been supported by a strong Q2 earnings season, with companies in the index reporting earnings per share growth averaging roughly 50% y/y, led by the energy, communication services and consumer discretionary sectors."

"On a twelve-month rolling basis, trailing S&P 500 earnings are now growing at their fastest pace in a generation, excluding post-recession rebounds."

"So, to maintain momentum, earnings guidance will need to be met—particularly in the IT sector, where expectations are especially demanding, with EPS growth of more than 40% anticipated over the next 12 months."

"With forward price-to-earnings multiples still hovering around 20, the S&P 500 earnings yield remains low relative to elevated long-term government bond yields, leaving the equity risk premium in negative territory for the first time in more than 20 years. As the 1997–2000 experience illustrates, a negative equity risk premium can persist for some time. The environment tends to become more challenging, however, as 30-year bond yields approach or move above 5.5%."

"Bond yields are especially relevant for growth stocks, whose valuations are more sensitive to changes in discount rates and which have been among the biggest beneficiaries of the AI investment theme.

"AI-related companies now account for a substantial share of market capitalization in several major equity markets, most notably the United States, but also in Emerging markets and Japan."

(This article was created with the help of an Artificial Intelligence tool and reviewed by an editor. Know more.)

Disclaimer: For information purposes only. Past performance is not indicative of future results.
placeholder
Pi Network Price Annual Forecast: PI Heads Into a Volatile 2026 as Utility Questions Collide With Big UnlocksPi Network heads into 2026 after a 90%+ 2025 drawdown from $3.00, with 17.5 million KYC users and a smart-contract-focused Stellar v23 upgrade offering upside potential, but 1.21 billion tokens unlocking and heavy exchange deposits (437 million PI) keeping supply pressure and trust risks firmly in focus.
Author  Mitrade
Dec 19, 2025
Pi Network heads into 2026 after a 90%+ 2025 drawdown from $3.00, with 17.5 million KYC users and a smart-contract-focused Stellar v23 upgrade offering upside potential, but 1.21 billion tokens unlocking and heavy exchange deposits (437 million PI) keeping supply pressure and trust risks firmly in focus.
placeholder
ECB Policy Outlook for 2026: What It Could Mean for the Euro’s Next MoveWith the ECB likely holding rates steady at 2.15% and the Fed potentially extending cuts into 2026, EUR/USD may test 1.20 if Eurozone growth proves resilient, but weaker growth and an ECB pivot could pull the pair back toward 1.13 and potentially 1.10.
Author  Mitrade
Dec 26, 2025
With the ECB likely holding rates steady at 2.15% and the Fed potentially extending cuts into 2026, EUR/USD may test 1.20 if Eurozone growth proves resilient, but weaker growth and an ECB pivot could pull the pair back toward 1.13 and potentially 1.10.
placeholder
Financial Markets 2026: Volatility Catalysts in Gold, Silver, Oil, and Blue-Chip Stocks—A CFD Trader's OutlookGet a comprehensive financial market 2026 outlook exploring key economic drivers, volatility catalysts in gold, oil and stocks, and what the evolving economic outlook means for cfd trading strategies and risk management on global markets.
Author  Rachel Weiss
May 15, Fri
Get a comprehensive financial market 2026 outlook exploring key economic drivers, volatility catalysts in gold, oil and stocks, and what the evolving economic outlook means for cfd trading strategies and risk management on global markets.
placeholder
Silver Reclaims $70 to Hit Nearly Two-Month High as Monthly Gain Exceeds 20% On August 28 Eastern Time, international silver prices continued their recent strong rally, with spot silver (XAGUSD) briefly breaking through the key $70 mark intraday, after approaching
Author  TradingKey
Aug 28, Fri
On August 28 Eastern Time, international silver prices continued their recent strong rally, with spot silver (XAGUSD) briefly breaking through the key $70 mark intraday, after approaching
placeholder
Gold Price Forecast: Can Gold Keep Rising as Fed Rate Hike Expectations Heat Up and US-Iran Conflict Escalates? As of the Asian session on August 31, gold prices today (XAUUSD) extended last Friday's decline, briefly falling below $4,400 during intraday trading to hit a low of $4,396.36. Last Frida
Author  TradingKey
Aug 31, Mon
As of the Asian session on August 31, gold prices today (XAUUSD) extended last Friday's decline, briefly falling below $4,400 during intraday trading to hit a low of $4,396.36. Last Frida
Related Instrument
goTop
quote