Peers today: 15 names — every tracked ETF.
Nothing unusual to report on 2026-09-27: no registered metric for this name has a robust z with at least its n_min readings behind it and a current reading.
No cross-module annotation: the chain and earnings modules had nothing to lend
Price from core.prices_asof() - split- and price-factor-adjusted to the as-of date, dividends left in. Volume as collected. The flip overlay is this name's own gamma_flip_level on each session whose gamma_flip_state found one, bounded at what was knowable on the as-of date.
from technicals: 30-day IV 12.7% (2026-09-25) against 21-session realised vol 9.2% (2026-09-25).
from technicals: Fee 0.41% on 2026-09-25, with the price 4.88% below its 252-session high on 2026-09-25.
from technicals: No headline tagged RSP on any complete day since 2026-07-27, so no session to set one beside.
from peers: 6 of its top 15 holdings on the 2026-09-23 composition are Core names with their own dossier: CRWD 0.25%, AMD 0.24%, PANW 0.24%, INTC 0.23%, META 0.23%, PLTR 0.23%.
505 holdings on the 2026-09-23 composition, weights summing to 99.99%. The largest 15:
| $CASH:Invesco Government & Agency Portfolio | Invesco Government & Agency Portfolio | 0.43% | — |
| MRNA | MODERNA | 0.27% | Healthcare |
| CRWD | CROWDSTRIKE HOLDINGS | 0.25% | Technology |
| ILMN | ILLUMINA | 0.25% | Healthcare |
| SWKS | SKYWORKS SOLUTIONS | 0.24% | Technology |
| AMD | ADVANCED MICRO DEVICES | 0.24% | Technology |
| PANW | PALO ALTO NETWORKS | 0.24% | Technology |
| MTD | METTLER TOLEDO INTERNATIONAL | 0.23% | Healthcare |
| INTC | INTEL | 0.23% | Technology |
| RVTY | REVVITY | 0.23% | Healthcare |
| A | AGILENT TECHNOLOGIES | 0.23% | Healthcare |
| META | META | 0.23% | Communication Services |
| FTNT | FORTINET | 0.23% | Technology |
| COIN | COINBASE GLOBAL | 0.23% | Technology |
| PLTR | PALANTIR | 0.23% | Technology |
Tracked funds holding RSP:
| No tracked ETF held RSP at its newest composition on or before this date. | |||
core.etf_holdings at each fund's newest vendor vintage on or before the as-of date - not this name's newest row, so a fund that dropped it in a later composition drops out here too. Weights are percent; a sum slightly over 100 is cash and rounding.
250 sessions from 2025-09-28
Constant-maturity IV, the variance risk premium and skew from the vendor's interpolated surface; net GEX and the 0DTE share from the chain book. No export: the chain is the vendor's personal-use tier (ADR-0020).
Ranked 8 of 15 names with a snapshot on 2026-09-25. A peer whose newest snapshot falls on a different day - older or newer - is listed with that day and excluded from the rank, never compared across days.
core.borrow_rates, the accrued snapshot series. The percentile is the house midrank - (below + half the ties) / n - over one reading per ET day, computed in SQL and NULL below its floor. Fee rates sit on a general-collateral floor, so ties are the common case and the midrank is what keeps a floor reading from reading as the minimum.
Complete days 2026-07-27 to 2026-09-25; the newest headline in the feed is 2026-09-26 19:53 ET.
core.news_headlines, matched on the feed's own ticker array. A ticker in this feed is a bare symbol, not an identifier: a foreign listing sharing the symbol is tagged the same way, and nothing here can tell the two apart, so headlines are shown exactly as the feed tagged them.