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September often weak for S&P 500, but Q4 outcomes vary; long-term investors advised to stay steady.

Market News
29 Sep 2026
24/7 Wall Street
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September often weak for S&P 500, but Q4 outcomes vary; long-term investors advised to stay steady.

September has a reputation as a weak month for the S&P 500, but data from 2000 to 2025 shows it only fell about one-third of the time, with sharp drops in a few key years. The fourth quarter following a weak September has had mixed results, with some years rebounding and others continuing to decline, notably during major crises like 2000 and 2008. Current market conditions show high Treasury yields and low volatility, suggesting caution but no clear crisis. For long-term retirement savers, historical patterns do not justify changing investment strategies based on seasonal trends alone; consistent contributions remain the best approach.

The S&P 500's September performance is the subject, with Pluang data providing market context. As of Sep 29, 2026 19:33 WIB, 97 of 150 US stocks rose and 48 fell on Pluang. Notable movers include NOK at USD 10.31 (+2.08%, 65 days hold, 4% Sell / 96% Buy), AMAT at USD 496.62 (+2.03%, 66 days hold, 91% Sell / 9% Buy), and HOOD at USD 118.70 (+1.92%, 74 days hold, 6% Sell / 94% Buy).

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