Top 10 Aindexes
1) AIndex Independent Power and Renewable Electricity Producers - L20 with
China Power International Development Ltd,
Neoen SA and
EDP Renovaveis
2) AIndex Genomic Revolution - L10 with
Editas Medicine Inc,
Cerus Corporation and
Recursion Pharmaceuticals Inc
3) AIndex Global Infrastructure - L10 with
Helios Towers Plc,
One Gas Inc and
SBA Communications Corp
4) AIndex Multi-Utilities - L10 with
Avista Corporation,
Engie SA and
Hera S.p.A
5) AIndex Stock EUR Growth - L10 with
Neoen SA,
EDP Renovaveis and
Sanofi SA
6) AIndex Global Dividend - L10 with
EDP Energias de Portugal SA,
McDonalds Corporation and
Tele2 AB (publ)
7) AIndex Electric Utilities - L10 with
EDP Energias de Portugal SA,
Xcel Energy Inc and
Southern Company
8) AIndex Gas Utilities - L10 with
One Gas Inc,
Northwest Natural Gas Co and
NewJersey Resources Corporation
9) AIndex Aerospace & Defense - L10 with
Hensoldt Ag,
Qinetiq Group PLC and
Maxar Technologies Inc
10) AIndex Consumer Finance - L10 with
SLM Corp,
Lufax Holding Ltd and
Ally Financial Inc



2) AIndex Genomic Revolution - L10 with



3) AIndex Global Infrastructure - L10 with



4) AIndex Multi-Utilities - L10 with



5) AIndex Stock EUR Growth - L10 with



6) AIndex Global Dividend - L10 with



7) AIndex Electric Utilities - L10 with



8) AIndex Gas Utilities - L10 with



9) AIndex Aerospace & Defense - L10 with



10) AIndex Consumer Finance - L10 with



1) AIndex Aerospace & Defense - L10 with
Hensoldt Ag,
Qinetiq Group PLC and
Northrop Grumman Corporation
2) AIndex Hong Kong China Enterprises - L10 with
Longfor Properties Co Ltd,
ENN Energy Holdings Ltd and
China Overseas
3) AIndex Life Sciences Tools & Services - L10 with
Hangzhou Tigermed Consulting,
Ergomed and
Waters Corporation
4) AIndex Independent Power and Renewable Electricity Producers - L20 with
Ormat Technologies Inc,
China Resources Power Holding and
Voltalia SA
5) AIndex Beverages - L10 with
Anhui Gujing Distillery Co Ltd,
Anheuser Busch Inbev SA NV and
Kweichow Moutai Co Ltd
6) AIndex Gas Utilities - L10 with
One Gas Inc,
NewJersey Resources Corporation and
Italgas SpA
7) AIndex Stock USD Value - L10 with
Post Holdings Inc,
Parsons Corp and
Jazz Pharmaceuticals PLC
8) AIndex Building Products - L10 with
China Lesso Group Holdings Ltd,
Advanced Drainage Systems Inc and
Carel Industries S.p.A
9) AIndex Sustainable Food - L10 with
Novozymes A/S,
Balchem Corporation and
Sensient Technologies Corporation
10) AIndex Household Products - L10 with
Vinda International Holdings Ltd,
Essity AB (publ) and
Blue Moon Group Holdings Ltd



2) AIndex Hong Kong China Enterprises - L10 with



3) AIndex Life Sciences Tools & Services - L10 with



4) AIndex Independent Power and Renewable Electricity Producers - L20 with



5) AIndex Beverages - L10 with



6) AIndex Gas Utilities - L10 with



7) AIndex Stock USD Value - L10 with



8) AIndex Building Products - L10 with



9) AIndex Sustainable Food - L10 with



10) AIndex Household Products - L10 with



1) AIndex Health Care Technology - L10 with
EMIS Group plc,
Cerner Corp and
Change Healthcare Inc
2) AIndex Beverages - L10 with
Kweichow Moutai Co Ltd,
Anhui Gujing Distillery Co Ltd and
Monster Beverage Corp
3) AIndex Software - L10 with
Agilysys Inc,
Iress Ltd and
Basware Oyj
4) AIndex Life Sciences Tools & Services - L10 with
Hangzhou Tigermed Consulting,
Waters Corporation and
West Pharmaceutical Services Inc
5) AIndex Hong Kong China Enterprises - L10 with
BYD Co Ltd-H,
Postal Savings Bank of China Co Ltd and
ENN Energy Holdings Ltd
6) AIndex Pet Health - L10 with
General Mills Inc,
JM Smucker Company and
Merck & Company Inc
7) AIndex Nasdaq Biotechnology - L40 with
Turning Point Therapeutics Inc,
Radius Heal and
Seagen Inc
8) AIndex Genomic Revolution - L20 with
Seagen Inc,
Recursion Pharmaceuticals Inc and
BioCryst Pharmaceuticals Inc
9) AIndex Hong Kong - L20 with
Huabao International Holdings Ltd,
Fosun Tourism Group and
China Lesso Group Holdings Ltd
10) AIndex Biotechnology - L40 with
Chongqing Zhifei Bio Products,
Bavarian Nordic and
Recursion Pharmaceuticals Inc



2) AIndex Beverages - L10 with



3) AIndex Software - L10 with



4) AIndex Life Sciences Tools & Services - L10 with



5) AIndex Hong Kong China Enterprises - L10 with



6) AIndex Pet Health - L10 with



7) AIndex Nasdaq Biotechnology - L40 with



8) AIndex Genomic Revolution - L20 with



9) AIndex Hong Kong - L20 with



10) AIndex Biotechnology - L40 with



Long stocks to watch
(ARGX/NL0010832176), listed in Belgium, closed the day's trading on 1st Jul at 362.7 EUR with a daily change of 1.45%. The Stock's five-year performance is mostly growth. On the last trading day, the Stock hit an all-time high. AI bought the Stock at 254.1 on 7th Feb and now gains 42.74%, the stop profit which is currently positioned at 272.02 is 25% away from the last closing value and corresponds to 0.54 standard deviations (46.62%). The Stock is at main cycle high at 12 o'clo...
Category: Stock - Biotechnology
ISIN: NL0010832176 Curncy: EUR Country: 

(WKL/NL0000395903), listed in Netherlands, closed the day's trading on 1st Jul at 92.04 EUR with a daily change of -0.56%. The Stock's five-year performance is mostly growth. AI bought the Stock at 9.436 on 22nd Aug 2011 and now gains 875.36%, the stop profit which is currently positioned at 80.484 is 12.56% away from the last closing value and corresponds to 0.61 standard deviations (20.63%). In the last 4 weeks during its upward movement, the average volume during positive day...
Category: Stock - Research & Consulting Services
ISIN: NL0000395903 Curncy: EUR Country: 

(FPE/IT0005203424), listed in Italy, closed the day's trading on 1st Jul at 21.8 EUR with a daily change of 1.87%. The Stock's five-year performance is mostly growth. On the last trading day, the Stock hit an all-time high. AI bought the Stock at 12.345 on 16th Aug 2021 and now gains 76.59%, the stop profit which is currently positioned at 19.075 is 12.5% away from the last closing value and corresponds to 0.28 standard deviations (44.39%). In the last 4 weeks during its upward ...
Category: Stock - Apparel, Accessories & Luxury Goods
ISIN: IT0005203424 Curncy: EUR Country: 

(EDPR/ES0127797019), listed in Portugal, closed the day's trading on 1st Jul at 23.81 EUR with a daily change of 5.73%. The Stock's five-year performance is mostly growth. AI bought the Stock at 18.73 on 18th Feb and now gains 27.12%, the stop profit which is currently positioned at 19.874 is 16.53% away from the last closing value and corresponds to 0.58 standard deviations (28.34%). In the last 4 weeks during its upward movement, the average volume during positive days is the ...
Category: Stock - Renewable Electricity
ISIN: ES0127797019 Curncy: EUR Country: 

(ARN/IT0004720733), listed in Italy, closed the day's trading on 1st Jul at 32.05 EUR with a daily change of 3.05%. The Stock's five-year performance is mostly growth. AI bought the Stock at 24.548 on 3rd Nov 2021 and now gains 30.56%, the stop profit which is currently positioned at 25.65 is 19.97% away from the last closing value and corresponds to 0.52 standard deviations (38.22%). In the last 4 weeks during its downward movement, the average volume during negative days is th...
Category: Stock - Renewable Electricity
ISIN: IT0004720733 Curncy: EUR Country: 

(LLY/US5324571083), listed in USA, closed the day's trading on 1st Jul at 324.71 USD with a daily change of 0.15%. The Stock's five-year performance is mostly growth. AI bought the Stock at 277.85 on 16th Mar and now gains 16.87%, the stop profit which is currently positioned at 279.83 is 13.82% away from the last closing value and corresponds to 0.57 standard deviations (24.4%). In the last 4 weeks during its upward movement it has opened 2 daily gaps of more than 1% extension ...
Category: Stock - Pharmaceuticals
ISIN: US5324571083 Curncy: USD Country: 

(ARGX/US04016X1019), listed in USA, closed the day's trading on 1st Jul at 377.13 USD with a daily change of -0.46%. The Stock's five-year performance is mostly growth. AI bought the Stock at 280.07 on 2nd Feb and now gains 34.66%, the stop profit which is currently positioned at 323.65 is 14.18% away from the last closing value. The Stock is at main cycle high at 12 o'clock from 17th Jun. The AI system, in the 1285 market days analysed, identified 13 operations for the Stock, ...
Category: Stock - Biotechnology
ISIN: US04016X1019 Curncy: USD Country: 

(ENPH/US29355A1079), listed in USA, closed the day's trading on 1st Jul at 195.72 USD with a daily change of 0.25%. The Stock's five-year performance is mostly growth. AI bought the Stock at 203.73 on 7th Jun and now loses -3.93%, the stop loss which is currently positioned at 168.07 is 14.13% away from the last closing value. In the last 4 weeks during its sideways movement it has opened 2 daily gaps of more than 1.3% extension and the most recent one was a bearish price gap fr...
Category: Stock - Semiconductor Equipment
ISIN: US29355A1079 Curncy: USD Country: 

(FCN/US3029411093), listed in USA, closed the day's trading on 1st Jul at 183.73 USD with a daily change of 1.59%. The Stock's five-year performance is mostly growth. On the last trading day, the Stock hit an all-time high. AI bought the Stock at 139.74 on 29th Mar 2021 and now gains 31.48%, the stop profit which is currently positioned at 145.31 is 20.91% away from the last closing value and corresponds to 0.66 standard deviations (31.62%). In the last 4 weeks during its upward...
Category: Stock - Research & Consulting Services
ISIN: US3029411093 Curncy: USD Country: 

(FTNT/US34959E1091), listed in USA, closed the day's trading on 1st Jul at 57.37 USD with a daily change of 1.4%. The Stock's five-year performance is mostly growth. AI bought the Stock at 55.86 on 16th May and now gains 2.7%, the stop loss which is currently positioned at 42.003 is 26.79% away from the last closing value and corresponds to 0.64 standard deviations (41.78%). In the last 4 weeks during its downward movement it has opened 2 daily gaps of more than 1% extension and...
Category: Stock - Systems Software
ISIN: US34959E1091 Curncy: USD Country: 

(AZN/GB0009895292), listed in UK, closed the day's trading on 1st Jul at 10754 GBX with a daily change of -0.43%. The Stock's five-year performance is mostly growth. AI bought the Stock at 8924.16 on 11th Oct 2021 and now gains 20.5%, the stop profit which is currently positioned at 9007.91 is 16.24% away from the last closing value and corresponds to 0.69 standard deviations (23.48%). The Stock started its descent from the main cycle high at 1 o'clock from 30th Jun. The AI sys...
Category: Stock - Pharmaceuticals
ISIN: GB0009895292 Curncy: GBX Country: 

(CRH/IE0001827041), listed in UK, closed the day's trading on 1st Jul at 2849 GBX with a daily change of 0.89%. The Stock's five-year performance is mostly value, but at the moment is lack. AI buys the stock at the next opening value. In the last 4 weeks during its downward movement it opened a daily bearish price gap from 2954.2 to 2987 on 13th Jun, partially closing it since 15th Jun. The average volume during positive days is the highest and peaked on 17th Jun with 197...
Category: Stock - Construction Materials
ISIN: IE0001827041 Curncy: GBX Country: 

(BA/GB0002634946), listed in UK, closed the day's trading on 1st Jul at 838.4 GBX with a daily change of 0.99%. The Stock's five-year performance is mostly lack, but at the moment is value. AI bought the Stock at 507.41 on 6th Apr 2020 and now gains 65.23%, the stop profit which is currently positioned at 775.52 is 7.5% away from the last closing value and corresponds to 0.32 standard deviations (23.67%). In the last 4 weeks during its upward movement, the average volume during ...
Category: Stock - Aerospace & Defense
ISIN: GB0002634946 Curncy: GBX Country: 

(LSEG/GB00B0SWJX34), listed in UK, closed the day's trading on 1st Jul at 7558 GBX with a daily change of -0.97%. The Stock's five-year performance is mostly growth. AI bought the Stock at 7012 on 21st Jun and now gains 7.79%, the stop loss which is currently positioned at 6511.39 is 13.85% away from the last closing value and corresponds to 0.49 standard deviations (28.03%). The Stock is halfway up from the main cycle low at 9 o'clock from 1st Jul, the current position matches ...
Category: Stock - Financial Exchanges & Data
ISIN: GB00B0SWJX34 Curncy: GBX Country: 

(FERG/JE00BJVNSS43), listed in UK, closed the day's trading on 1st Jul at 9030 GBX with a daily change of -1.72%. The Stock's five-year performance is mostly growth. AI bought the Stock at 9038 on 1st Jul and now loses -0.09%, the stop loss which is currently positioned at 8286.11 is 8.24% away from the last closing value and corresponds to 0.29 standard deviations (28.48%). In the last 4 weeks during its downward movement, the average volume during positive days is the highest ...
Category: Stock - Trading Companies & Distributors
ISIN: JE00BJVNSS43 Curncy: GBX Country: 

(GALE/CH0360674466), listed in Switzerland, closed the day's trading on 1st Jul at 73.8 CHF with a daily change of 0.68%. The Stock's five-year performance is mostly growth. AI bought the Stock at 73.65 on 1st Jul and now gains 0.2%, the stop loss which is currently positioned at 67.043 is 9.16% away from the last closing value and corresponds to 0.47 standard deviations (19.57%). The Stock is at main cycle high at 12 o'clock from 29th Jun. The AI system, in the 1312 market day...
Category: Stock - Health Care Distributors
ISIN: CH0360674466 Curncy: CHF Country: 

(NESN/CH0038863350), listed in Switzerland, closed the day's trading on 1st Jul at 112.76 CHF with a daily change of 1.18%. The Stock's five-year performance is mostly growth. AI bought the Stock at 111.96 on 27th Jun and now gains 0.71%, the stop loss which is currently positioned at 105.65 is 6.3% away from the last closing value and corresponds to 0.4 standard deviations (15.85%). The Stock continues to climb from the main cycle low at 8 o'clock from 1st Jul. The AI system, ...
Category: Stock - Food, Beverage & Tobacco: Packaged Foods & Meats
ISIN: CH0038863350 Curncy: CHF Country: 

(STMN/CH0012280076), listed in Switzerland, closed the day's trading on 1st Jul at 115.3 CHF with a daily change of 0.57%. The Stock's five-year performance is mostly growth. AI bought the Stock at 117.3 on 3rd May and now loses -1.71%, the stop loss which is currently positioned at 95.741 is 16.96% away from the last closing value and corresponds to 0.55 standard deviations (30.72%). In the last 4 weeks during its downward movement it has opened 2 daily gaps of more than 1.1% e...
Category: Stock - Health Care Equipment
ISIN: CH0012280076 Curncy: CHF Country: 

(LISN/CH0010570759), listed in Switzerland, closed the day's trading on 1st Jul at 100800 CHF with a daily change of 0.7%. The Stock's five-year performance is mostly growth. AI bought the Stock at 99800 on 28th Jun and now gains 1%, the stop loss which is currently positioned at 91583.1 is 9.14% away from the last closing value and corresponds to 0.48 standard deviations (18.97%). The Stock started its climb from the main cycle low at 7 o'clock from 23rd Jun. The probability of...
Category: Stock - Food, Beverage & Tobacco: Packaged Foods & Meats
ISIN: CH0010570759 Curncy: CHF Country: 

(SOON/CH0012549785), listed in Switzerland, closed the day's trading on 1st Jul at 309.6 CHF with a daily change of 1.84%. The Stock's five-year performance is mostly growth. AI bought the Stock at 309.9 on 27th Jun and now loses -0.1%, the stop loss which is currently positioned at 260.28 is 15.93% away from the last closing value and corresponds to 0.57 standard deviations (27.73%). The Stock continues to climb from the main cycle low at 8 o'clock from 1st Jul. The AI system,...
Category: Stock - Health Care Equipment
ISIN: CH0012549785 Curncy: CHF Country: 

(UWL/AU0000035388), listed in Australia, closed the day's trading on 1st Jul at 4.92 AUD. The Stock's five-year performance is mostly growth. AI bought the Stock at 4.78 on 24th Mar and now gains 2.93%, the stop loss which is currently positioned at 4.329 is 12.01% away from the last closing value. The Stock is at main cycle high at 12 o'clock from 18th Mar. The AI system, in the 841 market days analysed, identified 8 operations for the Stock, the last of which is still open. T...
Category: Stock - Alternative Carriers
ISIN: AU0000035388 Curncy: AUD Country: 

(LTR/AU000000LTR4), listed in Australia, closed the day's trading on 1st Jul at 1 AUD with a daily change of -5.21%. The Stock's five-year performance is mostly growth. AI bought the Stock at 1.06 on 1st Jul and now loses -5.66%, the stop loss which is currently positioned at 0.691 is 30.87% away from the last closing value. The Stock started its climb from the main cycle low at 7 o'clock from 24th Jun, the current position matches the maximum probability of an upward move (13.9...
Category: Stock - Metals & Mining: Diversified Metals & Mining
ISIN: AU000000LTR4 Curncy: AUD Country: 

(JLG/AU000000JLG8), listed in Australia, closed the day's trading on 1st Jul at 5.93 AUD with a daily change of 3.31%. The Stock's five-year performance is mostly growth. AI bought the Stock at 5.94 on 1st Jul and now loses -0.17%, the stop loss which is currently positioned at 5.083 is 14.28% away from the last closing value and corresponds to 0.35 standard deviations (41.22%). The Stock continues to climb from the main cycle low at 8 o'clock from 1st Jul. The probability of a ...
Category: Stock - Construction & Engineering
ISIN: AU000000JLG8 Curncy: AUD Country: 

(RMD/AU000000RMD6), listed in Australia, closed the day's trading on 1st Jul at 30.5 AUD with a daily change of -0.62%. The Stock's five-year performance is mostly growth. AI bought the Stock at 28.75 on 1st Jun and now gains 6.09%, the stop loss which is currently positioned at 27.196 is 10.83% away from the last closing value and corresponds to 0.41 standard deviations (26.59%). In the last 4 weeks during its upward movement, the average volume during positive days is the high...
Category: Stock - Health Care Equipment
ISIN: AU000000RMD6 Curncy: AUD Country: 

(QAN/AU000000QAN2), listed in Australia, closed the day's trading on 1st Jul at 4.45 AUD with a daily change of -0.45%. The Stock's five-year performance is mostly value, but at the moment is lack. AI buys the stock at the next opening value. In the last 4 weeks during its downward movement it has opened 2 daily gaps of more than 1.3% extension and the most recent one was a bearish price gap from 4.45 to 4.52 opened on 17th Jun, closing it on 24th Jun. The Stock is in the...
Category: Stock - Transportation: Airlines
ISIN: AU000000QAN2 Curncy: AUD Country: 

(CSU/CA21037X1006), listed in Canada, closed the day's trading on 30th Jun at 1910.87 CAD with a daily change of -0.47%. The Stock's five-year performance is mostly growth. AI bought the Stock at 1892.41 on 24th Jun and now gains 0.98%, the stop loss which is currently positioned at 1771.25 is 7.31% away from the last closing value and corresponds to 0.28 standard deviations (26.15%). In the last 4 weeks during its sideways movement, the average volume during positive days is th...
Category: Stock - Application Software
ISIN: CA21037X1006 Curncy: CAD Country: 

(RBA/CA7677441056), listed in Canada, closed the day's trading on 30th Jun at 83.75 CAD with a daily change of 2%. The Stock's five-year performance is mostly growth. AI bought the Stock at 80.58 on 17th May and now gains 3.93%, the stop loss which is currently positioned at 65.044 is 22.34% away from the last closing value and corresponds to 0.77 standard deviations (29.02%). The Stock is at main cycle high at 12 o'clock from 30th Jun. The AI system, in the 3135 market days an...
Category: Stock - Diversified Support Services
ISIN: CA7677441056 Curncy: CAD Country: 

(FTT/CA3180714048), listed in Canada, closed the day's trading on 30th Jun at 27.09 CAD with a daily change of -0.18%. The Stock's five-year performance is mostly lack, but at the moment is value. AI buys the stock at the next opening value. In the last 4 weeks during its downward movement it opened a daily bearish price gap from 32.15 to 32.65 on 13th Jun. The average volume during negative days is the highest and peaked on 22nd Jun with 1571426 units traded with a negat...
Category: Stock - Trading Companies & Distributors
ISIN: CA3180714048 Curncy: CAD Country: 

(ATD-A/CA01626P4033), listed in Canada, closed the day's trading on 29th Apr at 54.26 CAD. The Stock's five-year performance is mostly growth. AI bought the Stock at 39.188 on 26th Jan 2021 and now gains 38.46%, the stop profit which is currently positioned at 47.28 is 12.86% away from the last closing value and corresponds to 0.45 standard deviations (28.78%). The Stock is at main cycle high at 12 o'clock from 1st Feb. The AI system, in the 2794 market days analysed, identifie...
Category: Stock - Food & Staples Retailing: Food Retail
ISIN: CA01626P4033 Curncy: CAD Country: 

(WSP/CA92938W2022), listed in Canada, closed the day's trading on 30th Jun at 145.54 CAD with a daily change of 2.14%. The Stock's five-year performance is mostly growth. AI bought the Stock at 142.28 on 20th May and now gains 2.29%, the stop loss which is currently positioned at 116.32 is 20.08% away from the last closing value and corresponds to 0.82 standard deviations (24.45%). In the last 4 weeks during its downward movement, the average volume during positive days is the h...
Category: Stock - Construction & Engineering
ISIN: CA92938W2022 Curncy: CAD Country: 

(CHEMM/DK0060055861), listed in Denmark, closed the day's trading on 1st Jul at 763.5 DKK with a daily change of 0.86%. The Stock's five-year performance is mostly growth. AI bought the Stock at 679 on 7th Feb and now gains 12.44%, the stop loss which is currently positioned at 504.18 is 33.96% away from the last closing value. In the last 4 weeks during its sideways movement it opened a daily bullish price gap from 774.5 to 801 on 8th Jun, closing it on 24th Jun. The Stock cont...
Category: Stock - Life Sciences Tools & Services
ISIN: DK0060055861 Curncy: DKK Country: 

(NOVO-B/DK0060534915), listed in Denmark, closed the day's trading on 1st Jul at 784.6 DKK with a daily change of -0.33%. The Stock's five-year performance is mostly growth. AI bought the Stock at 736 on 18th Mar and now gains 6.6%, the stop loss which is currently positioned at 666.27 is 15.08% away from the last closing value and corresponds to 0.58 standard deviations (25.88%). The Stock is at main cycle high at 12 o'clock from 29th Jun. The AI system, in the 3119 market day...
Category: Stock - Pharmaceuticals
ISIN: DK0060534915 Curncy: DKK Country: 

(BAVA/DK0015998017), listed in Denmark, closed the day's trading on 1st Jul at 243 DKK with a daily change of 3.89%. The Stock's five-year performance is mostly lack, but at the moment is value. AI bought the Stock at 237.6 on 23rd Jun and now gains 2.27%, the stop loss which is currently positioned at 192.97 is 20.59% away from the last closing value. In the last 4 weeks during its upward movement, the average volume during negative days is the highest and peaked on 10th Jun wi...
Category: Stock - Biotechnology
ISIN: DK0015998017 Curncy: DKK Country: 

(CARL-B/DK0010181759), listed in Denmark, closed the day's trading on 1st Jul at 907.2 DKK with a daily change of 0.35%. The Stock's five-year performance is mostly growth. AI bought the Stock at 816.2 on 21st Mar and now gains 11.15%, the stop loss which is currently positioned at 782.32 is 13.76% away from the last closing value and corresponds to 0.55 standard deviations (25.06%). The Stock continues to climb from the main cycle low at 8 o'clock from 24th Jun. The probability...
Category: Stock - Food, Beverage & Tobacco: Brewers
ISIN: DK0010181759 Curncy: DKK Country: 

(NZYM-B/DK0060336014), listed in Denmark, closed the day's trading on 1st Jul at 429.5 DKK with a daily change of 0.82%. The Stock's five-year performance is mostly growth. AI bought the Stock at 410.3 on 28th Feb and now gains 4.68%, the stop loss which is currently positioned at 358.01 is 16.64% away from the last closing value and corresponds to 0.63 standard deviations (26.5%). The Stock continues to climb from the main cycle low at 8 o'clock from 27th Jun. The AI system, i...
Category: Stock - Specialty Chemicals
ISIN: DK0060336014 Curncy: DKK Country: 

Markets close on 1st Jul

Signals
There are also changes in the AIndexes: replacements in Health Care Providers & Services - L20 / L40; new entries in Agribusiness - L10 / L20 / L40, Airlines - L20, Banks - L40, Electric Utilities - L20, Equity Real Estate Investment Trusts (REITs) - L20, FinTech - L20 / L40, Food Products - L20 / L40, Global Dividend - L40, Global Infrastructure - L20 / L40, Health Care Equipment & Supplies - L40, Listed Private Equity - L40, NASDAQ 100 - L10 / L20 / L40, S&P 500 + Nasdaq 100 - L20 / L40, S&P 500 - L20 / L40, Stock EUR + USD Mix 50 / x 70, Sustainable Food - L20, Trading Companies & Distributors - L20, Travel & Leisure - L40, US Large Cap ESG - L20 / L40, Wood & Paper - L10 / L20; exits in Anti-Pandemic - L10 / L40, Chemicals - L20 / L40, Energy Equipment & Services - L20, Entertainment - L20 / L40, Machinery - L20 / L40, Marine - L10 / L20, Metaverse - L20, Semiconductor - L20, Shipping - L10 and Video Game & eSport - L20.
Ranking
The change in the top 3 stock categories on 1st Jul are Education Services (19) with 61.39%, Homebuilding (8) with 5.56% and Health Care Services (14) with 5.44%; at the bottom are Department Stores (4) with -7.19%, Semiconductor Equipment (23) with -4.68% and Transportation - Marine (11) with -3.41%.
In the last week, the best performers were: Education Services (19) with 60.57%, Pharmaceuticals (83) with 13.14% and Multi-Utilities (15) with 4.56%; the worst: Department Stores (4) with -18.73%, Homefurnishing Retail (4) with -16.62% and Internet Services & Infrastructure (19) with -11.16%.
Over the past month, the best performers were: Education Services (19) with 69.68%, Biotechnology (208) with 17.08% and Internet & Direct Marketing Retail (19) with 9.55%; the worst: Transportation - Marine (11) with -25.53%, Department Stores (4) with -24.84% and Oil & Gas Equipment & Services (10) with -24.39%.
For the past year, the best performers were: Coal & Consumable Fuels (5) with 82.57%, Oil & Gas Exploration & Production (24) with 63.15% and Integrated Oil & Gas (4) with 59.66%; the worst: Internet & Direct Marketing Retail (19) with -50.04%, Internet Services & Infrastructure (19) with -48.59% and Homefurnishing Retail (4) with -47.93%.
New highs and lows
One-year high (5) : Booz Allen Hamilton Holding, UNITIL Corporation, ATN International Inc, OptiNose and Consolidated Water Co Ltd
All-time low (19) : HyreCar Inc, Stem Holdings Inc, Deutsche Lufthansa AG ADR, Performance Shipping Inc, Aeglea Bio Therapeutics Inc, Aquestive Therapeutics Inc, Kala Pharmaceuticals Inc, Cue Biopharma, Matrix Service Co, Cognyte Software Ltd, Romeo Power Inc, Velodyne Lidar Inc, Hydrofarm Holdings Group Inc, SolarWinds Corp, Canoo Inc, Plby Group Inc, Avaya Holdings Corp, Matterport Inc and Nikola Corp
One-year low (123) : Orion Energy Systems Inc, Medicine Man Technologies Inc, Blue Bird Corp, Columbia Care Inc, Planet 13 Holdings Inc, Navios Maritime Holdings Inc, Commercial Vehicle Group Inc, TherapeuticsMD Inc, Boston Omaha Corporation, DRDGOLD Ltd ADR, Terrascend Corp, EMCORE Corporation, Great Lakes Dredge & Dock, Full House Resorts Inc, Cresco Labs Inc, Curaleaf Holdings Inc, Seabridge Gold Inc., Trulieve Cannabis Corp, Fossil Group Inc, Aemetis Inc, Ichor Holdings Ltd, ...

Signals
There are also changes in the AIndexes: new entries in Construction Materials - L20; exits in Etf USD Value - L20 / L40 and STOXX Europe 600 - Multicurrency - L20.
Ranking
The change in the top 3 stock categories on 1st Jul are Transportation - Airlines (4) with 2.78%, Data Processing & Outsourced Services (3) with 2.54% and Hotels / Resorts & Cruise Lines (5) with 2.46%; at the bottom are Health Care Technology (2) with -3.68%, Metals & Mining - Precious Metals & Minerals (2) with -3.67% and Oil & Gas Equipment & Services (3) with -3.65%.
In the last week, the best performers were: Metals & Mining - Steel (3) with 95.77%, Health Care Facilities (4) with 4.38% and Specialized Finance (2) with 3.86%; the worst: Oil & Gas Equipment & Services (3) with -11.76%, Metals & Mining - Precious Metals & Minerals (2) with -11.46% and Data Processing & Outsourced Services (3) with -8.78%.
Over the past month, the best performers were: Health Care Technology (2) with 34.85%, Specialized Finance (2) with 7.84% and Health Care Facilities (4) with 5.8%; the worst: Metals & Mining - Steel (3) with -51.85%, Oil & Gas Equipment & Services (3) with -31.93% and Internet & Direct Marketing Retail (9) with -28.35%.
For the past year, the best performers were: Oil & Gas Exploration & Production (7) with 49.42%, Independent Power Producers & Energy Traders (2) with 45.29% and Multi-Utilities (3) with 43.89%; the worst: Internet & Direct Marketing Retail (9) with -73.37%, Metals & Mining - Steel (3) with -68.54% and Data Processing & Outsourced Services (3) with -53.58%.
New highs and lows
One-year high (2) : Qinetiq Group PLC and Origin Enterprises Plc
All-time low (5) : Civitas Social Housing PLC, Jupiter Fund Management Plc, IntegraFin Holdings plc, Quilter PLC and Abrdn PLC
One-year low (40) : Bakkavor Group PLC, N Brown Group PLC, Mobius Investment Trust PLC, Hotel Chocolat Group PLC, Dignity PLC, Kier Group PLC, Saga plc, Team17, Just Group plc, On The Beach Group PLC, Eurasia Mining, Restaurant Group PLC, RHI Magnesita NV, Jtc Plc, Greatland Gold plc, Essentra PLC, Greencore Group, J D Wetherspoon PLC, Vesuvius PLC, Hammerson PLC, Shaftesbury PLC, ...

Signals
There are also changes in the AIndexes: new entries in Australia - L20 / L40.
Ranking
The change in the top 3 stock categories on 1st Jul are Aerospace & Defense (3) with 10.57%, Pharmaceuticals (9) with 6.96% and Biotechnology (8) with 3.96%; at the bottom are Consumer Finance (4) with -3.49%, Coal & Consumable Fuels (4) with -2.64% and Oil & Gas Exploration & Production (9) with -2.61%.
In the last week, the best performers were: Restaurants (2) with 7.48%, Pharmaceuticals (9) with 7.07% and Casinos & Gaming (9) with 3.84%; the worst: Personal Products (2) with -21.98%, Metals & Mining - Gold (22) with -10.34% and Internet & Direct Marketing Retail (4) with -7.18%.
Over the past month, the best performers were: Health Care Distributors with 9.27%, Transportation - Highways & Railtracks (2) with 4.98% and Food & Staples Retailing - Food Retail (2) with 2.92%; the worst: Personal Products (2) with -29.05%, Electronic Equipment & Instruments (3) with -25.62% and Consumer Finance (4) with -24.15%.
For the past year, the best performers were: Coal & Consumable Fuels (4) with 67.62%, Food & Staples Retailing - Food Distributors (2) with 56.23% and Electric Utilities with 40.83%; the worst: Internet & Direct Marketing Retail (4) with -74.2%, Pharmaceuticals (9) with -53.83% and Apparel Retail (3) with -47.03%.
New highs and lows
One-year high (4) : Crown Ltd, Sydney Airport Limited, Western Areas Ltd and Neurotech International Ltd
All-time low : Roto-Gro International Limited
One-year low (19) : E2 Metals Ltd, Creso Pharma Ltd, Pact Group Holdings Ltd, Electro Optic Systems Holdings, Resolute Mining Ltd, Bellevue Gold Ltd, Piedmont Lithium Ltd, Kogan.com Ltd, Unibail Rodamco Westfield, Boral Ltd., Zip Co Limited, Select Harvests Ltd, Afterpay Limited, OZ Minerals Ltd, De Grey Mining Ltd, Evolution Mining Ltd, Newcrest Mining Ltd, Northern Star Resources Ltd and ALS Ltd

Signals
There are also changes in the AIndexes: new entries in Beverages - L20.
Ranking
The change in the top 3 stock categories on 1st Jul are Renewable Electricity (2) with 4.44%, Metals & Mining - Steel (3) with 4.15% and Specialty Chemicals (5) with 2.21%; at the bottom are Leisure Facilities (2) with -4.72%, Transportation - Airlines (4) with -4.45% and Specialty Stores (2) with -3.11%.
In the last week, the best performers were: Building Products (2) with 12.21%, Specialty Stores (2) with 11.16% and Food / Beverage & Tobacco - Brewers (2) with 8.1%; the worst: Auto Parts & Equipment (3) with -7.83%, Electrical Components & Equipment (5) with -5.46% and Automobile Manufacturers (6) with -3.77%.
Over the past month, the best performers were: Specialty Chemicals (5) with 27.02%, Building Products (2) with 25.04% and Industrial Machinery (5) with 24.41%; the worst: Integrated Oil & Gas (2) with -6.04%, Electronic Components (11) with -3.15% and Metals & Mining - Gold (3) with -1.57%.
For the past year, the best performers were: Coal & Consumable Fuels (3) with 72.82%, Specialty Chemicals (5) with 67.28% and Independent Power Producers & Energy Traders (5) with 50.1%; the worst: Health Care Supplies (4) with -51.36%, Health Care Services (3) with -49.44% and Health Care Equipment (3) with -37.32%.
New highs
One-year high : GD Power Development Co Ltd

Signals
There are also changes in the AIndexes: replacements in Diversified Financial Services - L20 and Stock EUR + USD Mix 60; new entries in Diversified Financial Services - L10; exits in Italy - L20 / L40, Italy MIB 40 - L10 / L20 and Stock EUR Mix 60.
Ranking
The change in the top 3 stock categories on 1st Jul are Oil & Gas Equipment & Services (2) with 3.02%, Integrated Telecommunication Services (3) with 2.75% and Restaurants (2) with 2.22%; at the bottom are Internet & Direct Marketing Retail (3) with -16.81%, Hotels / Resorts & Cruise Lines (2) with -2.07% and Research & Consulting Services (4) with -1.73%.
In the last week, the best performers were: Oil & Gas Equipment & Services (2) with 56.69%, Building Products (4) with 3.99% and Aerospace & Defense (4) with 2.85%; the worst: Internet & Direct Marketing Retail (3) with -19.25%, Housewares & Specialties (2) with -12.31% and Diversified Real Estate Activities (4) with -8.22%.
Over the past month, the best performers were: Food & Staples Retailing - Food Distributors (2) with 0.44%, Transportation - Highways & Railtracks (2) with -0.05% and Systems Software (2) with -0.14%; the worst: Oil & Gas Equipment & Services (2) with -57.86%, Housewares & Specialties (2) with -25.6% and Internet & Direct Marketing Retail (3) with -22.16%.
For the past year, the best performers were: Renewable Electricity (4) with 82.34%, Transportation - Highways & Railtracks (2) with 42.93% and Specialty Chemicals (2) with 36.51%; the worst: Internet & Direct Marketing Retail (3) with -49.5%, Footwear (2) with -45.03% and Housewares & Specialties (2) with -40.58%.
New highs and lows
All-time low (12) : Radici Pietro Industries & Brands S.p.A, Shedir Pharma Group, Visibilia Editore SpA, ILLA SpA, WM Capital S.p.A, Servizi Italia S.p.A, Neosperience SpA, KI Group, 4Aim Societa di Investimento per Azioni a Capitale Fisso, ePRICE S.p.A., Iervolino Entertainment SpA and Banca Monte dei Paschi di Siena SpA
One-year low (18) : Monnalisa S.p.A, Mondo TV Suisse SA, Mondo TV France Societe Anonyme, Alfio Bardolla Training Group SpA, Eles Semiconductor Equipment SpA, Gabetti Property Solutions S.p.A., Emak S.p.A, Banca Sistema S.p.A, Centrale del Latte d Italia S.p.A, Digital Value SpA, Tiscali, Valsoia S.p.A, Biesse, Ascopiave S.p.A., Prysmian SpA, Enel SpA, Stellantis NV and STMicroelectronics NV

Ranking
The change in the top 3 stock categories on 1st Jul are Internet & Direct Marketing Retail (6) with 4.43%, Multi-Utilities (2) with 3.84% and Other Diversified Financial Services (2) with 3.04%; at the bottom are Semiconductor Equipment (7) with -3.02%, Semiconductors (2) with -2.57% and Home Furnishings with -2.43%.
In the last week, the best performers were: Oil & Gas Refining & Marketing (2) with 6.52%, Aerospace & Defense (4) with 4.55% and Diversified Support Services (2) with 2.49%; the worst: Home Furnishings with -8.28%, Metals & Mining - Steel (2) with -7.76% and Semiconductors (2) with -7.68%.
Over the past month, the best performers were: Aerospace & Defense (4) with 3.45%, Oil & Gas Refining & Marketing (2) with 2.85% and Reinsurance (2) with 2%; the worst: Metals & Mining - Steel (2) with -40.24%, Investment Banking & Brokerage (2) with -26.07% and Electronic Equipment & Instruments (3) with -23.73%.
For the past year, the best performers were: Aerospace & Defense (4) with 64.3%, Thrifts & Mortgage Finance (2) with 29.07% and Home Furnishings with 20.86%; the worst: Internet & Direct Marketing Retail (6) with -63.11%, Investment Banking & Brokerage (2) with -54.76% and Food & Staples Retailing - Food Retail (2) with -51.43%.
New highs and lows
One-year high : Sudzucker AG
All-time low (4) : Exasol AG, Knaus Tabbert AG, Adler Group SA and Knorr-Bremse AG
One-year low (27) : Westwing Group AG, Surteco Group SE, Grammer AG, Aroundtown SA, Bertrandt Aktiengesellschaft, Indus Holding AG, Einhell Germany AG, Basler Aktiengesellschaft, Mensch und Maschine Software SE, alstria office REIT-AG, DIC Asset AG, SUSS MicroTec SE, 1&1 AG, PVA TePla AG, Befesa SA, Durr Aktiengesellschaft, Jenoptik AG, Siltronic AG, Salzgitter AG, DWS Group GmbH & Co. KGaA, Fraport AG, ...

Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 1st Jul are Interactive Home Entertainment (6) with 8.98%, Pharmaceuticals (4) with 4.14% and Health Care Technology (2) with 3.94%; at the bottom are Oil & Gas Exploration & Production (2) with -2.64%, Aerospace & Defense (3) with -1.15% and Paper Products (3) with -0.25%.
In the last week, the best performers were: Health Care Technology (2) with 9.59%, Trading Companies & Distributors (4) with 6.07% and Biotechnology (10) with 5.58%; the worst: Application Software (2) with -9.38%, Hotels / Resorts & Cruise Lines (2) with -6.12% and Oil & Gas Exploration & Production (2) with -5.9%.
Over the past month, the best performers were: Pharmaceuticals (4) with 1.4%, Communications Equipment (2) with -0.22% and Automotive Retail (2) with -2.26%; the worst: Oil & Gas Exploration & Production (2) with -74.75%, Internet & Direct Marketing Retail (3) with -30.42% and Application Software (2) with -26.74%.
For the past year, the best performers were: Electrical Components & Equipment (4) with 76.14%, Aerospace & Defense (3) with 45.46% and Paper Products (3) with 13.81%; the worst: Application Software (2) with -69.51%, Internet & Direct Marketing Retail (3) with -65.71% and Oil & Gas Exploration & Production (2) with -63.55%.
New lows
One-year low (18) : Bergman & Beving AB (publ), Investment AB Oresund, Cantargia AB, Nobia AB, Sdiptech AB (publ), ?Cibus Nordic Real Estate, Peab AB (publ), Nordic Entertainment Group AB (publ), JM AB (publ), AddLife AB (publ), Fabege AB, Mips Ab, Troax Group AB, Avanza Bank Holding AB (publ), Pandox AB (publ), Epiroc AB (publ), Atlas Copco AB Series A and Sandvik AB

Ranking
The change in the top 3 stock categories on 1st Jul are Restaurants (2) with 3.81%, Renewable Electricity (3) with 3.02% and Health Care Equipment (2) with 2.08%; at the bottom are Oil & Gas Equipment & Services (4) with -3.95%, Semiconductors (3) with -3.27% and Oil & Gas Exploration & Production with -2%.
In the last week, the best performers were: Aerospace & Defense (5) with 2.19%, Renewable Electricity (3) with 2.08% and Health Care Equipment (2) with 1.25%; the worst: Retail REITs (3) with -8.66%, Oil & Gas Exploration & Production with -7.68% and Semiconductors (3) with -7.59%.
Over the past month, the best performers were: Renewable Electricity (3) with -2.1%, Data Processing & Outsourced Services (2) with -3.08% and Oil & Gas Exploration & Production with -3.64%; the worst: Food & Staples Retailing - Food Retail (2) with -28.78%, Building Products (2) with -22.02% and IT Consulting & Other Services (8) with -21.86%.
For the past year, the best performers were: Oil & Gas Exploration & Production with 116.52%, Cable & Satellite (2) with 25.88% and Research & Consulting Services (3) with 14.99%; the worst: Health Care Facilities (3) with -60.44%, Food & Staples Retailing - Food Retail (2) with -54.88% and Construction Machinery & Heavy Trucks (2) with -44.28%.
New highs and lows
All-time low : Hoffmann Green Cement Technologies
One-year low (14) : Mint SA, Synergie SE, Abivax SA, Metropole Television SA, Maisons du Monde SAS, Tarkett, Fnac Darty SA, Trigano SA, Solutions 30 SE, Alten SA, La Francaise Des Jeux Sa, Stellantis NV, STMicroelectronics NV and Air Liquide SA

Signals
There are also changes in the AIndexes: exits in Switzerland - L20 / L40.
Ranking
The change in the top 3 stock categories on 1st Jul are Life Sciences Tools & Services (4) with 2.28%, Advertising (2) with 1.57% and Specialty Stores (2) with 1.44%; at the bottom are Semiconductors (3) with -2.91%, Biotechnology (6) with -1.59% and Industrial Machinery (22) with -0.76%.
In the last week, the best performers were: Construction & Engineering (3) with 7.29%, Health Care Distributors (2) with 3.23% and Health Care Supplies (5) with 2.57%; the worst: Industrial Machinery (22) with -8.4%, Semiconductors (3) with -7.65% and Specialty Stores (2) with -6.89%.
Over the past month, the best performers were: Health Care Distributors (2) with 4.4%, Electronic Manufacturing Services (2) with 0.2% and Food / Beverage & Tobacco - Packaged Foods & Meats (12) with -0.06%; the worst: Semiconductors (3) with -17.99%, Industrial Machinery (22) with -17.81% and Diversified Capital Markets (2) with -17.05%.
For the past year, the best performers were: Health Care Distributors (2) with 17.57%, Food & Staples Retailing - Food Retail with 16.13% and Multi-line Insurance (5) with 9.04%; the worst: Biotechnology (6) with -53.74%, Application Software (2) with -45.76% and Life Sciences Tools & Services (4) with -40.39%.
New highs and lows
One-year high (3) : Clariant AG, Valartis Group AG and Banque Cantonale de Geneve
All-time low (6) : Addex Therapeutics Ltd, MCH Group AG, Blackstone Resources AG, Kudelski, Wisekey International Holding AG and Santhera Pharmaceuticals Holding AG
One-year low (14) : Orascom Development Holding AG, Hypothekarbank Lenzburg AG, PIERER Mobility AG, Peach Property Group AG, Zehnder, Rieter Holding AG, Arbonia AG, VZ Holding AG, Sulzer AG, Comet Holding AG, Bobst Group SA, VAT Group AG, Ams AG and Logitech International SA

Ranking
The change in the top 3 stock categories on 1st Jul are Aerospace & Defense (3) with 4.14%, Food / Beverage & Tobacco - Packaged Foods & Meats (4) with 3.28% and Property & Casualty Insurance (4) with 2.17%; at the bottom are Specialty Chemicals (2) with -6.04%, Oil & Gas Refining & Marketing (4) with -4.55% and Pharmaceuticals (7) with -3.29%.
In the last week, the best performers were: Heavy Electrical Equipment (2) with 11.16%, Diversified Chemicals (2) with 9.62% and Aerospace & Defense (3) with 8.8%; the worst: Interactive Home Entertainment (5) with -12.31%, Specialty Chemicals (2) with -11.94% and Construction Materials (2) with -7.88%.
Over the past month, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (4) with 3.27%, Food & Staples Retailing - Food Retail (2) with 1.73% and Construction Machinery & Heavy Trucks (6) with 1.21%; the worst: Electrical Components & Equipment (4) with -37.5%, Movies & Entertainment (2) with -29.79% and Specialty Chemicals (2) with -27.31%.
For the past year, the best performers were: Property & Casualty Insurance (4) with 36.68%, Aerospace & Defense (3) with 29.28% and Electronic Components (6) with 20.92%; the worst: Personal Products (3) with -43.4%, Interactive Media & Services (2) with -43.03% and Movies & Entertainment (2) with -41.88%.
New lows
One-year low (17) : Hanmi Science, NH Investment & Securities Co Ltd, CJ ENM CO. Ltd, LG Uplus, Kiwoom, Samsung SDS Co Ltd, LG Display, DB HiTek Co Ltd, Iljin Materials, NCsoft Corp, Ecopro BM. Co. Ltd, Kakao Corp, Samsung Electronics Co Ltd, SK Innovation, Pearl Abyss Corp, Samsung Electro-Mechanics and SK Hynix Inc

Signals
There are also changes in the AIndexes: new entries in Denmark - L40.
Ranking
The change in the top 3 stock categories on 1st Jul are Biotechnology (5) with 4.52%, Health Care Equipment (4) with 3.75% and Movies & Entertainment (2) with 2.81%; at the bottom are Real Estate Operating Companies (4) with -3.79%, Construction Machinery & Heavy Trucks (2) with -1.07% and Consumer Electronics (2) with -0.85%.
In the last week, the best performers were: Food / Beverage & Tobacco - Agricultural Products (2) with 3.17%, Biotechnology (5) with 2.17% and Pharmaceuticals with 1.94%; the worst: Construction & Engineering (2) with -6.31%, Diversified Banks (6) with -6.05% and Construction Machinery & Heavy Trucks (2) with -3.51%.
Over the past month, the best performers were: Movies & Entertainment (2) with 17.77%, Biotechnology (5) with 9.6% and Food / Beverage & Tobacco - Brewers (3) with 5.59%; the worst: Electrical Components & Equipment (2) with -34.66%, Pharmaceuticals with -25.47% and Construction & Engineering (2) with -20.01%.
For the past year, the best performers were: Food / Beverage & Tobacco - Agricultural Products (2) with 21.73%, Real Estate Operating Companies (4) with 19.1% and Trading Companies & Distributors (3) with 10.27%; the worst: Health Care Equipment (4) with -45.65%, Application Software (3) with -38.56% and Biotechnology (5) with -36.59%.
New lows
One-year low (2) : Nordfyns Bank and H+H International A/S

Ranking
The change in the top 3 stock categories on 1st Jul are Electric Utilities (4) with 2.26%, Biotechnology (3) with 2.1% and Renewable Electricity (3) with 1.7%; at the bottom are IT Consulting & Other Services (2) with -1.75%, Construction Machinery & Heavy Trucks (2) with -1.15% and Auto Parts & Equipment (2) with -0.86%.
In the last week, the best performers were: Multi-line Insurance (2) with 3.68%, Gas Utilities (2) with 3.09% and Electric Utilities (4) with 1.55%; the worst: Communications Equipment (2) with -21.36%, Hotels / Resorts & Cruise Lines (3) with -10.64% and Publishing (2) with -7.22%.
Over the past month, the best performers were: Diversified Real Estate Activities (2) with 2.71%, Multi-line Insurance (2) with 0.94% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.51%; the worst: Communications Equipment (2) with -35.58%, Metals & Mining - Steel (4) with -21.32% and Hotels / Resorts & Cruise Lines (3) with -18.44%.
For the past year, the best performers were: Gas Utilities (2) with 21.82%, Electric Utilities (4) with 16.07% and Renewable Electricity (3) with 11.9%; the worst: Publishing (2) with -38.86%, Security & Alarm Services (2) with -30.56% and Communications Equipment (2) with -28.88%.
New lows
One-year low (6) : General de Alquiler de Maquinaria SA, Airtificial Intelligence Structures SA, Lar Espana Real Estate SOCIMI S.A, Alantra Partners S.A, Inmobiliaria Colonial SA and Acerinox

Ranking
The change in the top 3 stock categories on 1st Jul are Health Care Facilities (2) with 1%, Real Estate Development (3) with 0.9% and Transportation - Air Freight & Logistics (2) with 0.69%; at the bottom are Health Care Supplies (2) with -1.23%, Diversified REITs (2) with -0.95% and Food / Beverage & Tobacco - Agricultural Products (4) with -0.75%.
In the last week, the best performers were: Transportation - Road & Rail - Trucking (2) with 1.49%, Health Care Facilities (2) with 1.3% and Health Care Supplies (2) with 0.95%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (4) with -1.54%, Food / Beverage & Tobacco - Agricultural Products (4) with -1.44% and Retail REITs (8) with -1.12%.
Over the past month, the best performers were: Health Care Supplies (2) with 2.1%, Multi-Utilities (2) with 1.32% and Industrial REITs (7) with 1.09%; the worst: Food / Beverage & Tobacco - Agricultural Products (4) with -11.02%, Diversified Banks (3) with -6.31% and Transportation - Air Freight & Logistics (2) with -5.83%.
For the past year, the best performers were: Multi-Utilities (2) with 25.54%, Diversified REITs (2) with 13.56% and Food / Beverage & Tobacco - Agricultural Products (4) with 13.01%; the worst: Health Care Supplies (2) with -50.2%, Construction Machinery & Heavy Trucks (2) with -36.19% and Food / Beverage & Tobacco - Packaged Foods & Meats (4) with -31.37%.
New highs and lows
All-time low : Nanofilm Technologies International Limited

Ranking
The change in the top 3 stock categories on 1st Jul are Biotechnology (2) with 2.16%, Food / Beverage & Tobacco - Brewers (2) with 1.59% and Heavy Electrical Equipment (2) with 1.05%; at the bottom are Semiconductor Equipment (3) with -7.14%, Retail REITs (4) with -1.18% and Integrated Oil & Gas with -1.14%.
In the last week, the best performers were: Biotechnology (2) with 3.51%, Integrated Oil & Gas with 3.2% and Internet & Direct Marketing Retail (2) with 1.43%; the worst: Semiconductor Equipment (3) with -11.87%, Metals & Mining - Steel (2) with -6.42% and Diversified Banks (2) with -4.86%.
Over the past month, the best performers were: Internet & Direct Marketing Retail (2) with 5.08%, Integrated Oil & Gas with 3.67% and Biotechnology (2) with 3.64%; the worst: Metals & Mining - Steel (2) with -30.1%, Semiconductor Equipment (3) with -23.89% and Electrical Components & Equipment (2) with -18.44%.
For the past year, the best performers were: Integrated Oil & Gas with 49.11%, Life & Health Insurance (2) with 19.51% and Research & Consulting Services (3) with 15.41%; the worst: Internet & Direct Marketing Retail (2) with -51.76%, Transportation - Air Freight & Logistics (2) with -48.07% and Semiconductor Equipment (3) with -29.84%.
New lows

Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 1st Jul are Industrial Machinery (2) with 3.85%, Multi-line Insurance (2) with 2.11% and IT Consulting & Other Services (2) with 0.98%; at the bottom are Oil & Gas Storage & Transportation (2) with -5.49%, Transportation - Marine (6) with -4.74% and Specialty Chemicals (2) with -4.12%.
In the last week, the best performers were: Multi-line Insurance (2) with 7.19%, Publishing (2) with 2.82% and Food / Beverage & Tobacco - Packaged Foods & Meats (9) with 2.05%; the worst: Industrial Machinery (2) with -12.18%, Oil & Gas Storage & Transportation (2) with -6.76% and Specialty Chemicals (2) with -6.53%.
Over the past month, the best performers were: Multi-line Insurance (2) with 1.78%, Oil & Gas Storage & Transportation (2) with -1.27% and Food / Beverage & Tobacco - Packaged Foods & Meats (9) with -2.33%; the worst: Industrial Machinery (2) with -29.94%, Specialty Chemicals (2) with -21.16% and Oil & Gas Equipment & Services (3) with -20.5%.
For the past year, the best performers were: Oil & Gas Storage & Transportation (2) with 67.32%, Oil & Gas Exploration & Production (2) with 29.65% and Transportation - Marine (6) with 26.57%; the worst: Publishing (2) with -54.5%, Industrial Machinery (2) with -48.62% and IT Consulting & Other Services (2) with -22.59%.
New highs and lows
All-time low : Pexip Holding ASA
One-year low (3) : SpareBank 1 Ostlandet, Sparebank 1 SR Bank ASA and Storebrand ASA

Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 1st Jul are Industrial Machinery (6) with 2.2%, Systems Software (3) with 1.75% and Food / Beverage & Tobacco - Packaged Foods & Meats (3) with 1.64%; at the bottom are Regional Banks (2) with -0.29%, Paper Products (3) with -0.07% and Real Estate Operating Companies (2) with 0.02%.
In the last week, the best performers were: Industrial Machinery (6) with 1.03%, Food / Beverage & Tobacco - Packaged Foods & Meats (3) with 0.33% and Application Software (4) with 0.3%; the worst: Regional Banks (2) with -2.62%, Real Estate Operating Companies (2) with -2.1% and Construction & Engineering (2) with -0.84%.
Over the past month, the best performers were: Publishing (2) with 6.21%, Application Software (4) with -2.08% and Food / Beverage & Tobacco - Packaged Foods & Meats (3) with -2.49%; the worst: Construction & Engineering (2) with -15.61%, Paper Products (3) with -14.71% and Industrial Machinery (6) with -11.87%.
For the past year, the best performers were: Regional Banks (2) with 29.9%, Paper Products (3) with -4.22% and Publishing (2) with -4.72%; the worst: Construction & Engineering (2) with -46.65%, Food / Beverage & Tobacco - Packaged Foods & Meats (3) with -36.92% and Industrial Machinery (6) with -31.94%.
New lows

Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 1st Jul are Construction & Engineering (2) with 1.33%, Multi-Sector Holdings (2) with 1.15% and Residential REITs (2) with 1.14%; at the bottom are Diversified Banks (2) with -1.08%, Health Care Equipment (2) with -0.75% and Real Estate Operating Companies (2) with -0.27%.
In the last week, the best performers were: Biotechnology (3) with 5.52%, Residential REITs (2) with -0.13% and Multi-Sector Holdings (2) with -0.88%; the worst: Construction & Engineering (2) with -40.53%, Real Estate Operating Companies (2) with -8.04% and Diversified Banks (2) with -5.54%.
Over the past month, the best performers were: Biotechnology (3) with 15.67%, Pharmaceuticals (2) with -0.36% and Health Care Equipment (2) with -2.21%; the worst: Construction & Engineering (2) with -45.37%, Real Estate Operating Companies (2) with -16.48% and Diversified Chemicals (2) with -12.52%.
For the past year, the best performers were: Biotechnology (3) with 7.8%, Real Estate Operating Companies (2) with 0.11% and Industrial REITs (3) with -1.26%; the worst: Construction & Engineering (2) with -38.74%, Pharmaceuticals (2) with -29.7% and Multi-Sector Holdings (2) with -28.84%.
New highs and lows
All-time low : Bone Therapeutics SA
One-year low (4) : Melexis NV, VGP NV, Cofinimmo SA and Warehouses de Pauw Comm VA

Ranking
The change in the top 3 stock categories on 1st Jul are Electric Utilities (2) with 3.98%, Multi-line Insurance (2) with 0.49% and Industrial Machinery (2) with -0.33%; at the bottom are Construction & Engineering (2) with -2.86%, Diversified Banks (3) with -0.72% and Real Estate Operating Companies (3) with -0.58%.
In the last week, the best performers were: Electric Utilities (2) with 1.11%, Multi-line Insurance (2) with -0.48% and Real Estate Operating Companies (3) with -0.84%; the worst: Diversified Banks (3) with -6.54%, Industrial Machinery (2) with -4.42% and Construction & Engineering (2) with -3.07%.
Over the past month, the best performers were: Electric Utilities (2) with 0.6%, Multi-line Insurance (2) with -3.22% and Construction & Engineering (2) with -3.73%; the worst: Diversified Banks (3) with -16.64%, Real Estate Operating Companies (3) with -11.81% and Industrial Machinery (2) with -10.15%.
For the past year, the best performers were: Electric Utilities (2) with 20.3%, Multi-line Insurance (2) with -7.79% and Real Estate Operating Companies (3) with -8.38%; the worst: Industrial Machinery (2) with -29.43% and Diversified Banks (3) with -21.98%.
New lows

Ranking
In the last week, the best performers were: Food & Staples Retailing - Food Retail (2) with 4.01% and Paper Products (3) with -0.12%; the worst: Paper Products (3) with -0.12%.
Over the past month, the best performers were: Food & Staples Retailing - Food Retail (2) with 7.5%; the worst: Paper Products (3) with -3.04%.
For the past year, the best performers were: Food & Staples Retailing - Food Retail (2) with 38.25% and Paper Products (3) with 23.91%

Signals
There are no changes in the AIndexes.
Ranking
The change in the top 2 stock categories on 1st Jul are Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 2.66%; at the bottom are Diversified Banks (3) with -0.63%.
In the last week, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 1.44%; the worst: Diversified Banks (3) with -7.72%.
Over the past month, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with -0.47% and Diversified Banks (3) with -7.34%
For the past year, the best performers were: Diversified Banks (3) with 17.23%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with -19.77%.
New lows
We note that Smurfit Kappa Group PLC has made a new One-year low.

Ranking

Ranking
The 4729 Stock analysed are 28.29% long and ended the trading day with a weighted daily change of 0.66% and a weekly change of -1.88%.
There are 28 new buys (Aedifica, Ares Management Corp Class A, CSX Corporation, Capital Southwest Corporation, Citizens Financial Group Inc, Crh Plc, Exelon Corporation, Federal Realty Investment Trust, Frp Holdings Ord, Groep Brussel Lambert NV, HT&E Ltd, Hub24 Ltd, International Paper, Jiangsu Yanghe Brewery Joint-Stock Co Ltd, Louisiana-Pacific Corporation, Metsa Board Oyj B, Oriola-KD Oyj B, Pinnacle West Capital Corp, Qantas Airways Ltd, RLJ Lodging Trust, Seven Group Holdings Ltd, Smartgroup Corporation Ltd, Snap-On Inc, Stryker Corporation, Tassal Group Ltd, Totalbanken, Ufp Industries Inc and Valartis Group AG) and 19 new sell (AIB Group PLC, Akouos Inc, Alfio Bardolla Training Group SpA, Alpha FX Group PLC, Assura Plc, BMO Commercial Property Trust Ltd, Burckhardt Compression, Dno ASA, Elkem ASA, Embracer Group AB publ, Encompass Health Corp, Everbright Securities Co Ltd, Glencore PLC, Hotel Chocolat Group PLC, Ichor Holdings Ltd, Modern Times Group Mtg AB, Tenaris S.A, Wallenius Wilhelmsen Logistics ASA and illimity Bank SpA). With the new changes, long positions will increase by 0.19%.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 27.24% of the total and a change of -0.94%, followed by the "Growth" group accounting for 32.23% and a change of -1.75% and the "Lack" group accounting for 40.54% and a change of -2.81%.
The change in the top 3 Stock categories on 1st Jul are Education Services (37) with 30.48%, Asset Management & Custody Banks (136) with 8.82% and Health Care Services (30) with 3.02%; at the bottom are Department Stores (12) with -3.3%, Semiconductor Equipment (49) with -3.25% and Metals & Mining - Precious Metals & Minerals (11) with -3.23%.
In the last week, the best performers were: Education Services (37) with 30.87%, Pharmaceuticals (180) with 6.43% and Food / Beverage & Tobacco - Brewers (15) with 4.19%; the worst: Internet Services & Infrastructure (28) with -13.55%, Homefurnishing Retail (9) with -10.65% and Department Stores (12) with -9.98%.
Over the past month, the best performers were: Education Services (37) with 68.49%, Biotechnology (303) with 12% and Health Care Technology (27) with 7.4%; the worst: Oil & Gas Equipment & Services (27) with -24.54%, Transportation - Marine (33) with -20.8% and Tires & Rubber (7) with -20.37%.
For the past year, the best performers were: Coal & Consumable Fuels (18) with 60.33%, Oil & Gas Exploration & Production (58) with 52.61% and Independent Power Producers & Energy Traders (25) with 39.46%; the worst: Internet & Direct Marketing Retail (60) with -54.28%, Internet Services & Infrastructure (28) with -49.22% and Metals & Mining - Silver (16) with -49.12%.
New highs and lows
All-time high (19) : Argen-X, FTI Consulting Inc, Shaanxi Coal Industry Co Ltd, Fope S.p.A, TCL Zhonghuan Renewable Energy Technology Co Ltd, Humana Inc, General Mills Inc, Tassal Group Ltd, China Yangtze Power Co Ltd, Yuexiu Property Co Ltd, Greentown China Holdings Ltd, H&R Block Inc, Datto Holding Corp, MGM Growth Properties LLC, Adva Optical Networking SE, Ultra Electronics Holdings PLC, Macquarie Infrastructure Co, Thurgauer Kantonalbank and Odfjell SE
One-year high (20) : Booz Allen Hamilton Holding, Sudzucker AG, Air China Ltd, GD Power Development Co Ltd, Crown Ltd, Sydney Airport Limited, Qinetiq Group PLC, Clariant AG, Valartis Group AG, Western Areas Ltd, AKKA Technologies SE, UNITIL Corporation, ATN International Inc, Silverlake Axis Ltd, Cathay Pacific Airways Limited, Origin Enterprises Plc, OptiNose, Consolidated Water Co Ltd, Banque Cantonale de Geneve and Neurotech International Ltd
All-time low (66) : Radici Pietro Industries & Brands S.p.A, Roto-Gro International Limited, HyreCar Inc, Stem Holdings Inc, Shedir Pharma Group, Addex Therapeutics Ltd, Deutsche Lufthansa AG ADR, Visibilia Editore SpA, MCH Group AG, Performance Shipping Inc, Gold Standard Ventures Corp, Bone Therapeutics SA, Medipharm Labs Corp, Aeglea Bio Therapeutics Inc, Aquestive Therapeutics Inc, Kala Pharmaceuticals Inc, ILLA SpA, WM Capital S.p.A, Servizi Italia S.p.A, Neosperience SpA, Cue Biopharma, KI Group, Blackstone Resources AG, Kudelski, Vpower Group International Holdings Ltd, 4Aim Societa di Investimento per Azioni a Capitale Fisso, Matrix Service Co, ePRICE S.p.A., Iervolino Entertainment SpA, Zhongliang Holdings Group Co Ltd, Wisekey International Holding AG, ...
One-year low (390) : Kore Mining Ltd, Monnalisa S.p.A, Mondo TV Suisse SA, Avino Silver & Gold Mines Ltd, E2 Metals Ltd, Bakkavor Group PLC, Mint SA, Orion Energy Systems Inc, Westwing Group AG, Bergman & Beving AB (publ), Surteco Group SE, Grammer AG, N Brown Group PLC, Mondo TV France Societe Anonyme, Mobius Investment Trust PLC, Medicine Man Technologies Inc, Hotel Chocolat Group PLC, IMPACT Silver Corp., Hanmi Science, Alfio Bardolla Training Group SpA, Bear Creek Mining Corporation, General de Alquiler de Maquinaria SA, Investment AB Oresund, Blue Bird Corp, Orascom Development Holding AG, Creso Pharma Ltd, SpareBank 1 Ostlandet, Columbia Care Inc, Planet 13 Holdings Inc, Burcon NutraScience Corporation, Metalla Royalty & Streaming Ltd, ...
Signals
Ranking
The change in the top 3 Stock categories on 1st Jul are Education Services (37) with 30.48%, Asset Management & Custody Banks (136) with 8.82% and Health Care Services (30) with 3.02%; at the bottom are Department Stores (12) with -3.3%, Semiconductor Equipment (49) with -3.25% and Metals & Mining - Precious Metals & Minerals (11) with -3.23%.
In the last week, the best performers were: Education Services (37) with 30.87%, Pharmaceuticals (180) with 6.43% and Food / Beverage & Tobacco - Brewers (15) with 4.19%; the worst: Internet Services & Infrastructure (28) with -13.55%, Homefurnishing Retail (9) with -10.65% and Department Stores (12) with -9.98%.
Over the past month, the best performers were: Education Services (37) with 68.49%, Biotechnology (303) with 12% and Health Care Technology (27) with 7.4%; the worst: Oil & Gas Equipment & Services (27) with -24.54%, Transportation - Marine (33) with -20.8% and Tires & Rubber (7) with -20.37%.
For the past year, the best performers were: Coal & Consumable Fuels (18) with 60.33%, Oil & Gas Exploration & Production (58) with 52.61% and Independent Power Producers & Energy Traders (25) with 39.46%; the worst: Internet & Direct Marketing Retail (60) with -54.28%, Internet Services & Infrastructure (28) with -49.22% and Metals & Mining - Silver (16) with -49.12%.
New highs and lows
One-year high (20) : Booz Allen Hamilton Holding, Sudzucker AG, Air China Ltd, GD Power Development Co Ltd, Crown Ltd, Sydney Airport Limited, Qinetiq Group PLC, Clariant AG, Valartis Group AG, Western Areas Ltd, AKKA Technologies SE, UNITIL Corporation, ATN International Inc, Silverlake Axis Ltd, Cathay Pacific Airways Limited, Origin Enterprises Plc, OptiNose, Consolidated Water Co Ltd, Banque Cantonale de Geneve and Neurotech International Ltd
All-time low (66) : Radici Pietro Industries & Brands S.p.A, Roto-Gro International Limited, HyreCar Inc, Stem Holdings Inc, Shedir Pharma Group, Addex Therapeutics Ltd, Deutsche Lufthansa AG ADR, Visibilia Editore SpA, MCH Group AG, Performance Shipping Inc, Gold Standard Ventures Corp, Bone Therapeutics SA, Medipharm Labs Corp, Aeglea Bio Therapeutics Inc, Aquestive Therapeutics Inc, Kala Pharmaceuticals Inc, ILLA SpA, WM Capital S.p.A, Servizi Italia S.p.A, Neosperience SpA, Cue Biopharma, KI Group, Blackstone Resources AG, Kudelski, Vpower Group International Holdings Ltd, 4Aim Societa di Investimento per Azioni a Capitale Fisso, Matrix Service Co, ePRICE S.p.A., Iervolino Entertainment SpA, Zhongliang Holdings Group Co Ltd, Wisekey International Holding AG, ...
One-year low (390) : Kore Mining Ltd, Monnalisa S.p.A, Mondo TV Suisse SA, Avino Silver & Gold Mines Ltd, E2 Metals Ltd, Bakkavor Group PLC, Mint SA, Orion Energy Systems Inc, Westwing Group AG, Bergman & Beving AB (publ), Surteco Group SE, Grammer AG, N Brown Group PLC, Mondo TV France Societe Anonyme, Mobius Investment Trust PLC, Medicine Man Technologies Inc, Hotel Chocolat Group PLC, IMPACT Silver Corp., Hanmi Science, Alfio Bardolla Training Group SpA, Bear Creek Mining Corporation, General de Alquiler de Maquinaria SA, Investment AB Oresund, Blue Bird Corp, Orascom Development Holding AG, Creso Pharma Ltd, SpareBank 1 Ostlandet, Columbia Care Inc, Planet 13 Holdings Inc, Burcon NutraScience Corporation, Metalla Royalty & Streaming Ltd, ...
The 2344 Etf analysed are 31.48% long and ended the trading day with a weighted daily change of 0.35% and a weekly change of -0.83%.
There are 15 new buys (SPDR Bloomberg Barclays U.S. Treasury Bond, SPDR S&P Transportation, UBS Bloomberg Barclays US 7-10 Year Treasury Bond, Vanguard Treasury Bond, Xtrackers Harvest CSI300, Xtrackers MSCI USA 2C Hedged, Xtrackers S&P 500 Equal Weight, Xtrackers S&P Select Frontier Swap, Xtrackers Stoxx Global Select Dividend 100 Swap, Xtrackers Switzerland, iShares EURO STOXX Small, iShares MSCI United Kingdom, iShares S&P 500 Health Care Sector, iShares VII PLC iShares MSCI Canada and iShares VII Public Limited Company - iShares MSCI USA Small Cap UCITS ETF) and 16 new sell (L&G Longer Dated All Commodities, UBS Irl Fund Solutions plc CMCI Composite Hedged, UBS Irl Fund Solutions plc CMCI Composite Hedged, UBS ETFs Public Limited Company CMCI Composite, WisdomTree Agriculture, WisdomTree Corn Daily Hedged, WisdomTree Enhanced Commodity Hedged, WisdomTree Physical Silver, WisdomTree Silver, WisdomTree Silver Daily Hedged, WisdomTree Sugar Daily Hedged, Xtrackers DBLCI Commodity Optimum Yield Swap 3C Hedged, Xtrackers MSCI Taiwan, Xtrackers Xtrackers DBLCI Commodity Optimum Yield Swap 2C, iShares Diversified Commodity Swap and iShares MSCI Taiwan). With the new changes, long positions will decrease by 0.04%.
Etfs ranked by performance class had the best weekly returns with the "Lack" group accounting for 27.82% of the total and a change of -0.41%, followed by the "Value" group accounting for 33.28% and a change of -0.88% and the "Growth" group accounting for 38.91% and a change of -1.07%.
The change in the top 3 Etf categories on 1st Jul are Short-Commodity Industrial Metals (3) with 3.21%, Equity Sector Utilities (14) with 2.39% and Equity Sector Infrastructure (9) with 1.81%; at the bottom are Commodity Agriculture (28) with -3.37%, Equity Russia with -3.34% and Equity Greece (3) with -2.25%.
In the last week, the best performers were: Short-Commodity Industrial Metals (3) with 4.91%, Short-Equity USA (2) with 4.66% and Equity Pakistan (2) with 4.03%; the worst: Equity Russia with -56.31%, Equity Eastern Europe (5) with -16.62% and Equity Thematic Blockchain (3) with -6.67%.
Over the past month, the best performers were: Equity World (102) with 120.73%, Short-Commodity Industrial Metals (3) with 25.27% and Short-Commodity Energy (4) with 16.72%; the worst: Equity Russia with -79.87%, Equity Eastern Europe (5) with -26.94% and Equity Brazil (16) with -17.69%.
For the past year, the best performers were: Equity World (102) with 126.34%, Commodity Energy (21) with 81.91% and Commodity Broad Based (47) with 39.29%; the worst: Equity Russia with -77%, Equity Thematic Cannabis (3) with -57.98% and Short-Commodity Energy (4) with -50.04%.
New highs and lows
All-time high (4) : iShares Usd TIPS 0 5, Xtrackers II Overnight Rate Swap, UBS Bloomberg Barclays TIPS 1 10 and WisdomTree Short Long
One-year high (17) : Vanguard Treasury Bond, WisdomTree Copper 1x Daily Short, iShares Usd Treasury Bond 1-3yr, iShares Public Limited Company iShares Usd Treasury Bond 1-3yr, Lyxor Fed Funds US Dollar Cash, WisdomTree Copper 1x Daily Short, SPDR Bloomberg Barclays 1-3 Year U.S. Treasury Bond, iShares Usd Ultrashort Bond, WisdomTree Silver 1x Daily Short, Xtrackers II US Treasuries 1-3, Amundi Index Solutions - Amundi MSCI China UCITS ETF-C EUR, iShares Usd Short Duration Corp Bond, iShares VII Public Limited Company iShares Usd Treasury Bond 3-7yr, Vanguard Corporate 1-3 year Bond, WisdomTree Long Short, UBS FTSE 100 and Tabula European Itraxx Crossover Credit Short J
All-time low (22) : Horizons Marijuana Life Sciences Index, iShares MSCI Eastern Europe Capped, SPDR Bloomberg Barclays Global Aggregate Bond Hedged, SI UC Refinitiv European Convertible Bond, Lyxor MSCI Russia, Invesco RDX, iShares Public Limited Company iShares MSCI Eastern Europe Capped, Tabula iTraxx IG Bond Index Distributing, Xtrackers MSCI Russia Capped Swap, iShares MSCI Europe Information Technology Sector, HSBC MSCI Russia Capped, Xtrackers MSCI Russia Capped Swap, Xtrackers II Overnight Rate Swap, WisdomTree Short Long 5x Daily, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, WisdomTree Short Long, HSBC MSCI Russia Capped, ARK Space Exploration & Innovation ETF, Lyxor MSCI Russia, Xtrackers II Overnight Rate Swap and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (127) : Xtrackers MSCI Africa Top 50 Swap, Deka Germany 30, Lyxor Portfolio Strategy, Xtrackers - MSCI Europe Small Cap UCITS ETF, HSBC MSCI Brazil, Xtrackers FTSE 250, Invesco RDX, Xtrackers MSCI Korea, Invesco Quantitative Strategies ESG Global Equity Multi Factor PfHedged, Ossiam World ESG Machine Learning 1A, UBS SICAV MSCI Canada, BNP Paribas Easy Equity Momentum Europe, Xtrackers FTSE Developed Europe ex UK Real Estate, iShares Public Limited Company iShares Global High Yield Corp Bond, UBS J.P. Morgan EM Diversified Bond 1-5, Lyxor PEA Immobilier Europe (FTSE EPRA/NAREIT), Invesco MDAX, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Ossiam US ESG Low Carbon Equity Factors 1A, Xtrackers FTSE Developed Europe Real Estate, Invesco Materials S&P US Select Sector, iShares MSCI EM Small, Amundi Index Solutions - Amundi FTSE EPRA Europe Real Estate UCITS ETF-C, Lyxor MSCI Korea, Deka DAX ex Financials 30, Xtrackers MSCI Africa Top 50 Swap, BNP Paribas Easy FTSE EPRA/NAREIT Eurozone Capped, BNP Paribas Easy Equity Value Europe, BNP Paribas Easy FTSE EPRA/NAREIT Developed Europe QD, SPDR MSCI Europe Technology, BNP Paribas Easy MSCI Europe Small Caps SRI S Series 5% Capped Capitalisation, ...
Signals
Ranking
The change in the top 3 Etf categories on 1st Jul are Short-Commodity Industrial Metals (3) with 3.21%, Equity Sector Utilities (14) with 2.39% and Equity Sector Infrastructure (9) with 1.81%; at the bottom are Commodity Agriculture (28) with -3.37%, Equity Russia with -3.34% and Equity Greece (3) with -2.25%.
In the last week, the best performers were: Short-Commodity Industrial Metals (3) with 4.91%, Short-Equity USA (2) with 4.66% and Equity Pakistan (2) with 4.03%; the worst: Equity Russia with -56.31%, Equity Eastern Europe (5) with -16.62% and Equity Thematic Blockchain (3) with -6.67%.
Over the past month, the best performers were: Equity World (102) with 120.73%, Short-Commodity Industrial Metals (3) with 25.27% and Short-Commodity Energy (4) with 16.72%; the worst: Equity Russia with -79.87%, Equity Eastern Europe (5) with -26.94% and Equity Brazil (16) with -17.69%.
For the past year, the best performers were: Equity World (102) with 126.34%, Commodity Energy (21) with 81.91% and Commodity Broad Based (47) with 39.29%; the worst: Equity Russia with -77%, Equity Thematic Cannabis (3) with -57.98% and Short-Commodity Energy (4) with -50.04%.
New highs and lows
One-year high (17) : Vanguard Treasury Bond, WisdomTree Copper 1x Daily Short, iShares Usd Treasury Bond 1-3yr, iShares Public Limited Company iShares Usd Treasury Bond 1-3yr, Lyxor Fed Funds US Dollar Cash, WisdomTree Copper 1x Daily Short, SPDR Bloomberg Barclays 1-3 Year U.S. Treasury Bond, iShares Usd Ultrashort Bond, WisdomTree Silver 1x Daily Short, Xtrackers II US Treasuries 1-3, Amundi Index Solutions - Amundi MSCI China UCITS ETF-C EUR, iShares Usd Short Duration Corp Bond, iShares VII Public Limited Company iShares Usd Treasury Bond 3-7yr, Vanguard Corporate 1-3 year Bond, WisdomTree Long Short, UBS FTSE 100 and Tabula European Itraxx Crossover Credit Short J
All-time low (22) : Horizons Marijuana Life Sciences Index, iShares MSCI Eastern Europe Capped, SPDR Bloomberg Barclays Global Aggregate Bond Hedged, SI UC Refinitiv European Convertible Bond, Lyxor MSCI Russia, Invesco RDX, iShares Public Limited Company iShares MSCI Eastern Europe Capped, Tabula iTraxx IG Bond Index Distributing, Xtrackers MSCI Russia Capped Swap, iShares MSCI Europe Information Technology Sector, HSBC MSCI Russia Capped, Xtrackers MSCI Russia Capped Swap, Xtrackers II Overnight Rate Swap, WisdomTree Short Long 5x Daily, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, WisdomTree Short Long, HSBC MSCI Russia Capped, ARK Space Exploration & Innovation ETF, Lyxor MSCI Russia, Xtrackers II Overnight Rate Swap and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (127) : Xtrackers MSCI Africa Top 50 Swap, Deka Germany 30, Lyxor Portfolio Strategy, Xtrackers - MSCI Europe Small Cap UCITS ETF, HSBC MSCI Brazil, Xtrackers FTSE 250, Invesco RDX, Xtrackers MSCI Korea, Invesco Quantitative Strategies ESG Global Equity Multi Factor PfHedged, Ossiam World ESG Machine Learning 1A, UBS SICAV MSCI Canada, BNP Paribas Easy Equity Momentum Europe, Xtrackers FTSE Developed Europe ex UK Real Estate, iShares Public Limited Company iShares Global High Yield Corp Bond, UBS J.P. Morgan EM Diversified Bond 1-5, Lyxor PEA Immobilier Europe (FTSE EPRA/NAREIT), Invesco MDAX, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Ossiam US ESG Low Carbon Equity Factors 1A, Xtrackers FTSE Developed Europe Real Estate, Invesco Materials S&P US Select Sector, iShares MSCI EM Small, Amundi Index Solutions - Amundi FTSE EPRA Europe Real Estate UCITS ETF-C, Lyxor MSCI Korea, Deka DAX ex Financials 30, Xtrackers MSCI Africa Top 50 Swap, BNP Paribas Easy FTSE EPRA/NAREIT Eurozone Capped, BNP Paribas Easy Equity Value Europe, BNP Paribas Easy FTSE EPRA/NAREIT Developed Europe QD, SPDR MSCI Europe Technology, BNP Paribas Easy MSCI Europe Small Caps SRI S Series 5% Capped Capitalisation, ...
The 358 AIndex analysed are 26.54% long and ended the trading day with a weighted daily change of 0.2% and a weekly change of -0.39%.
There is one new sell (AIndex Etf USD Value - L40). With the new changes, long positions will decrease by 0.28%.
There are also changes in the AIndexes: replacements in Diversified Financial Services - L20, Health Care Providers & Services - L20 / L40 and Stock EUR + USD Mix 60; new entries in Agribusiness - L10 / L20 / L40, Airlines - L20, Australia - L20 / L40, Banks - L40, Beverages - L20, Construction Materials - L20, Denmark - L40, Diversified Financial Services - L10, Electric Utilities - L20, Equity Real Estate Investment Trusts (REITs) - L20, Etf EUR Growth - L20 / L40, FinTech - L20 / L40, Food Products - L20 / L40, Funds AZ EUR Risk 1/7 - L10, Global Dividend - L40, Global Infrastructure - L20 / L40, Health Care Equipment & Supplies - L40, Listed Private Equity - L40, NASDAQ 100 - L10 / L20 / L40, Paper & Forest Products - L10, Real Estate Management & Development - L10 / L20, S&P 500 + Nasdaq 100 - L20 / L40, S&P 500 - L20 / L40, Stock EUR + USD Mix 50 / x 70, Stock EUR Mix 25 / x 40, Stock EUR Value - L10, Sustainable Food - L20, Trading Companies & Distributors - L20, Transportation Infrastructure - L20, Travel & Leisure - L40, US Large Cap ESG - L20 / L40, Wood & Paper - L10 / L20; exits in Anti-Pandemic - L10 / L40, Chemicals - L20 / L40, Energy Equipment & Services - L20, Entertainment - L20 / L40, Etf USD Value - L20 / L40, Global Gold & Silver Miners - L10 / L20 / L40, Italy - L20 / L40, Italy MIB 40 - L10 / L20, Machinery - L20 / L40, Marine - L10 / L20, Metaverse - L20, STOXX Europe 600 - EUR - L20 / L40, STOXX Europe 600 - Multicurrency - L20, Semiconductor - L20, Shipping - L10, Stock EUR Mix 60, Stock EUR Value - L20 / L40, Switzerland - L20 / L40 and Video Game & eSport - L20.
One-year low (29) : AIndex Funds AF EUR Risk 1/4 - L10, AIndex Funds DB EUR Risk 2/5 - L10, AIndex Funds IW EUR Risk 1/7 - L10, AIndex Funds IW USD Risk 1/7 - L10, AIndex Funds OM EUR Risk 4/7 - L10, AIndex Stock EUR Value - L10, AIndex Construction Materials - L20, AIndex Metals & Mining - L10, AIndex Semiconductor - L20, AIndex Semiconductors & Semiconductor Equipment - L10, AIndex Metals & Mining - L40, AIndex Global Gold & Silver Miners - L20, AIndex Technology Hardware Storage & Peripherals - L10, AIndex Funds OM EUR Risk 3/6 - L10, AIndex Technology Hardware Storage & Peripherals - L20, AIndex Banks - L20, AIndex Construction Materials - L10, AIndex Media - L10, AIndex Electrical Equipment - L10, AIndex Future Mobility - L40, AIndex Funds AF EUR Risk 2/5 - L10, AIndex London - L10, AIndex Media - L20, AIndex Entertainment - L20, AIndex Capital Markets - L20, AIndex Entertainment - L40, AIndex STOXX Europe 600 - GBP - L10, AIndex Diversified Financial Services - L20 and AIndex Diversified Financial Services - L10
Signals
There are also changes in the AIndexes: replacements in Diversified Financial Services - L20, Health Care Providers & Services - L20 / L40 and Stock EUR + USD Mix 60; new entries in Agribusiness - L10 / L20 / L40, Airlines - L20, Australia - L20 / L40, Banks - L40, Beverages - L20, Construction Materials - L20, Denmark - L40, Diversified Financial Services - L10, Electric Utilities - L20, Equity Real Estate Investment Trusts (REITs) - L20, Etf EUR Growth - L20 / L40, FinTech - L20 / L40, Food Products - L20 / L40, Funds AZ EUR Risk 1/7 - L10, Global Dividend - L40, Global Infrastructure - L20 / L40, Health Care Equipment & Supplies - L40, Listed Private Equity - L40, NASDAQ 100 - L10 / L20 / L40, Paper & Forest Products - L10, Real Estate Management & Development - L10 / L20, S&P 500 + Nasdaq 100 - L20 / L40, S&P 500 - L20 / L40, Stock EUR + USD Mix 50 / x 70, Stock EUR Mix 25 / x 40, Stock EUR Value - L10, Sustainable Food - L20, Trading Companies & Distributors - L20, Transportation Infrastructure - L20, Travel & Leisure - L40, US Large Cap ESG - L20 / L40, Wood & Paper - L10 / L20; exits in Anti-Pandemic - L10 / L40, Chemicals - L20 / L40, Energy Equipment & Services - L20, Entertainment - L20 / L40, Etf USD Value - L20 / L40, Global Gold & Silver Miners - L10 / L20 / L40, Italy - L20 / L40, Italy MIB 40 - L10 / L20, Machinery - L20 / L40, Marine - L10 / L20, Metaverse - L20, STOXX Europe 600 - EUR - L20 / L40, STOXX Europe 600 - Multicurrency - L20, Semiconductor - L20, Shipping - L10, Stock EUR Mix 60, Stock EUR Value - L20 / L40, Switzerland - L20 / L40 and Video Game & eSport - L20.
New lows
The 90 Crypto analysed are 7.78% long and ended the trading day with a weighted daily change of -1.78% and a weekly change of -6.51%.
Cryptos ranked by performance class had the best weekly returns with the "Lack" group accounting for 77.78% of the total and a change of -5.57%, followed by the "Value" group accounting for 1.11% and a change of -5.9% and the "Growth" group accounting for 21.11% and a change of -10.17%.
The change in the top 3 Crypto categories on 1st Jul are Content Creation - Not Mineable (2) with 4.61%, Polkadot Ecosystem - Not Mineable (6) with 4.31% and Privacy - Mineable (4) with 0.06%; at the bottom are Distributed Computing - Not Mineable with -6.04%, Decentralized Finance (DeFi) - Not Mineable (9) with -5.21% and Store of Value - Mineable (2) with -3.65%.
In the last week, the best performers were: Decentralized Finance (DeFi) - Not Mineable (9) with 9.96%, Polkadot Ecosystem - Not Mineable (6) with 8.68% and Content Creation - Not Mineable (2) with -4.18%; the worst: Distributed Computing - Not Mineable with -19.76%, Solana Ecosystem - Not Mineable (2) with -11.82% and Privacy - Mineable (4) with -11.82%.
Over the past month, the best performers were: Distributed Computing - Not Mineable with 16.26%, Polkadot Ecosystem - Not Mineable (6) with -4.32% and Content Creation - Not Mineable (2) with -6.74%; the worst: Privacy - Mineable (4) with -30.57%, Smart Contracts - Mineable (3) with -29.79% and Store of Value - Mineable (2) with -26.61%.
For the past year, the best performers were: Centralized Exchange - Not Mineable (5) with -21.93%, Collectibles & NFTs - Not Mineable (4) with -60.98% and Distributed Computing - Not Mineable with -61.61%; the worst: Solana Ecosystem - Not Mineable (2) with -80.56%, Smart Contracts - Not Mineable (12) with -80.14% and Content Creation - Not Mineable (2) with -79.52%.
All-time low : SKALE
One-year low : Huobi Token
Ranking
The change in the top 3 Crypto categories on 1st Jul are Content Creation - Not Mineable (2) with 4.61%, Polkadot Ecosystem - Not Mineable (6) with 4.31% and Privacy - Mineable (4) with 0.06%; at the bottom are Distributed Computing - Not Mineable with -6.04%, Decentralized Finance (DeFi) - Not Mineable (9) with -5.21% and Store of Value - Mineable (2) with -3.65%.
In the last week, the best performers were: Decentralized Finance (DeFi) - Not Mineable (9) with 9.96%, Polkadot Ecosystem - Not Mineable (6) with 8.68% and Content Creation - Not Mineable (2) with -4.18%; the worst: Distributed Computing - Not Mineable with -19.76%, Solana Ecosystem - Not Mineable (2) with -11.82% and Privacy - Mineable (4) with -11.82%.
Over the past month, the best performers were: Distributed Computing - Not Mineable with 16.26%, Polkadot Ecosystem - Not Mineable (6) with -4.32% and Content Creation - Not Mineable (2) with -6.74%; the worst: Privacy - Mineable (4) with -30.57%, Smart Contracts - Mineable (3) with -29.79% and Store of Value - Mineable (2) with -26.61%.
For the past year, the best performers were: Centralized Exchange - Not Mineable (5) with -21.93%, Collectibles & NFTs - Not Mineable (4) with -60.98% and Distributed Computing - Not Mineable with -61.61%; the worst: Solana Ecosystem - Not Mineable (2) with -80.56%, Smart Contracts - Not Mineable (12) with -80.14% and Content Creation - Not Mineable (2) with -79.52%.
New lows
One-year low : Huobi Token
Markets close on 30th Jun

Signals
There are also changes in the AIndexes: new entries in Real Estate Management & Development - L10 / L20 and Transportation Infrastructure - L20.
Ranking
The change in the top 3 stock categories on 30th Jun are Specialty Chemicals (3) with 6.94%, Food / Beverage & Tobacco - Brewers (3) with 3.36% and Independent Power Producers & Energy Traders (8) with 2.88%; at the bottom are Consumer Finance (2) with -5.38%, Real Estate Services (2) with -4.79% and Application Software (6) with -3.57%.
In the last week, the best performers were: Casinos & Gaming (7) with 18.44%, Transportation - Airport Services (2) with 17.52% and Hotels / Resorts & Cruise Lines (7) with 16.07%; the worst: Consumer Finance (2) with -12.64%, Real Estate Services (2) with -7.24% and Department Stores (2) with -4.39%.
Over the past month, the best performers were: Education Services (13) with 91.86%, Transportation - Airport Services (2) with 31.63% and Health Care Equipment (6) with 31.06%; the worst: Transportation - Marine (5) with -20.71%, Commodity Chemicals (2) with -12.94% and Advertising (3) with -12.9%.
For the past year, the best performers were: Coal & Consumable Fuels (3) with 76.8%, Independent Power Producers & Energy Traders (8) with 67.43% and Oil & Gas Storage & Transportation (2) with 38.41%; the worst: Health Care Technology (3) with -70.71%, Health Care Equipment (6) with -65.23% and Health Care Services (5) with -59.26%.
New highs and lows
One-year high (2) : Air China Ltd and Cathay Pacific Airways Limited
All-time low (4) : Vpower Group International Holdings Ltd, Zhongliang Holdings Group Co Ltd, Archosaur Games Inc and Jacobio Pharmaceuticals Group Co Lt
One-year low (9) : Greatview Aseptic Packaging Co Ltd, Dah Sing Banking Group Ltd, Pacific Textiles Holdings Ltd, Lonking Holdings Ltd, Yue Yuen Ind, Powerlong Real Estate Holdings Ltd, Guangdong Investment Ltd, SITC International Holdings Co Ltd and CLP Holdings

Signals
There are also changes in the AIndexes: new entries in Paper & Forest Products - L10; exits in Global Gold & Silver Miners - L10 / L20 / L40.
Ranking
The change in the top 3 stock categories on 30th Jun are Transportation - Road & Rail - Trucking (2) with 2.39%, Residential REITs (4) with 1.62% and Forest Products (6) with 1.57%; at the bottom are Metals & Mining - Precious Metals & Minerals (7) with -5.17%, Metals & Mining - Silver (10) with -4.07% and Transportation - Airlines (2) with -4.06%.
In the last week, the best performers were: Oil & Gas Exploration & Production (11) with 6.76%, Diversified Support Services (2) with 6.72% and Integrated Oil & Gas (3) with 5.28%; the worst: Metals & Mining - Precious Metals & Minerals (7) with -10%, Metals & Mining - Gold (50) with -5.5% and Application Software (12) with -4.81%.
Over the past month, the best performers were: Personal Products with 247.43%, Diversified Support Services (2) with 5.54% and Renewable Electricity (5) with 3.12%; the worst: Metals & Mining - Copper (3) with -29.61%, Consumer Finance (2) with -20.71% and Transportation - Airlines (2) with -19.94%.
For the past year, the best performers were: Oil & Gas Exploration & Production (11) with 67.05%, Integrated Oil & Gas (3) with 65.96% and General Merchandise Stores (2) with 38.44%; the worst: Pharmaceuticals (10) with -75.94%, Construction Machinery & Heavy Trucks (2) with -58.3% and Consumer Finance (2) with -51.37%.
New lows
One-year low (64) : Kore Mining Ltd, Avino Silver & Gold Mines Ltd, IMPACT Silver Corp., Bear Creek Mining Corporation, Burcon NutraScience Corporation, Metalla Royalty & Streaming Ltd, Americas Silver Corp, Wallbridge Mining Company Limited, Alexco Resource Corp, Dmg Blockchain Solutions Inc, Prime Mining Corp, Western Forest Products Inc, GCM Mining Corp, Marathon Gold Corporation, Sabina Gold & Silver Corp., NovaGold Resources Inc, New Found Gold Corp, Seabridge Gold Inc., Silvercorp Metals Inc, Orla Mining Ltd, Sleep Country Canada Holdings Inc, ...
The 5357 Fund analysed are 19.4% long and ended the trading day with a weighted daily change of -0.61% and a weekly change of 0.15%.
There are 55 new buys (AXA Rosenberg Japan Equity Alpha, AXA Rosenberg US Enhanced Index Equity Alpha, AXA World Funds Framlington Global Real Estate Securities, Atrium Octant, Aviva Investors US Equity Income II 2, BGF Global Multi Asset Inc, BNP Paribas Funds Global Environment, BNP Paribas Funds Smart Food, BlackRock Global Funds BGF Systematic Global Equity High Income, Brown Advisory US Flexible Equity Dollar, Brown Advisory US Small Blend Dollar, CS Invm Fds 2 Credit Suisse Infrastructure Equity UB, Candriam Absolute Return Equity Market Neutral, Cullen North American High Dividend Value Equity, DIP US Equities, DP Ahorro, DPAM INVEST Equities Sustainable Food Trends, DWS Invest Asian Small/Mid LC, DWS Invest Qi LowVol World LC, Dierickx Leys II Bond Corporate, Fidelity Funds European Dividend MCDIST, Fidelity Funds FIRST All Country World, Fidelity MSCI Europe Index, First Eagle Amundi Income Builder, JPMorgan Funds ASEAN Equity, JPMorgan Funds America Equity, JPMorgan Investment Funds US Select Equity, JPMorgan Investment Funds US Select Equity, Janus Henderson Capital Funds plc - US Strategic Value Fund Class I2 USD, Janus Henderson Capital Funds plc INTECH US Core, Legg Mason ClearBridge Tactical Dividend Income Plus, M&G Global Enhanced Equity Premia, MFS Meridian Funds European Value, MFS Meridian Funds U.S. Value, NATIXIS International Harris Associates U.S. Equity, NESTOR Australien Fonds, NN Global Real Estate, Neuberger Berman US Real Estate Securities, Neuberger Berman US Small Intrinsic Value, Nomura Funds Ireland plc Global High Conviction, Nordea 1 Global Gender Diversity, Nordea 1 Global Listed Infrastructure, Nordea 1 Global Real Estate, Pictet - Quest Global Equities I EUR, Pictet Quest Global Equities, Robeco US Select Opportunities Equities, SSGA Luxembourg State Street Global ESG Screened Enhanced Equity, Schoellerbank Alternativ, Schoellerbank PREMIUM Global, Schroder International Selection Asian Dividend Maximiser, Schroder International Selection Global Smaller Companies, Schroder International Selection Sustainable Multi Factor Equity, Templeton Frontier Markets, Vanguard SRI European Stock and Vanguard U.S. 500 Stock Index) and 26 new sell (Albemarle Flexible, Alken Fund - European Opportunities Class A, BNP Paribas Funds Mid Cap, Basler Aktienfonds DWS, Bellatrix, BlueBay Funds BlueBay Investment Grade Absolute Return Bond, CB Accent Swan Ultra Short Term Bond, DWS Aktien Strategie Deutschland LC, DWS Deutschland LC, DWS Fixed Maturity Corporate Bonds 2025, JPMorgan Funds Europe Strategic Value, Janus Henderson Horizon Asian Dividend Income, Lazard Credit Opportunities, Lombard Odier Funds - World Gold Expertise USD NA, Olea Investment Olea Neutral Inversiones, PIMCO GIS Commodity Real Return, Santander AM Latin American Equity Opportunities I, Schroder GAIA Cat Bond IF, Schroder International Selection European Value, Schroder International Selection Fund Taiwanese Equity C Accumulation USD, Themis Special Situations, Threadneedle Lux - Enhanced Commodities Class AU USD Accumulation Shares, Threadneedle Enhanced Commodities, VM Sterntaler II, Vanguard Eurozone Stock Index and Vontobel Fund - Commodity I USD). With the new changes, long positions will increase by 0.54%.
Funds ranked by performance class had the best weekly returns with the "Growth" group accounting for 39.07% of the total and a change of 0.37%, followed by the "Value" group accounting for 22.94% and a change of 0.08% and the "Lack" group accounting for 37.99% and a change of -0.02%.
The change in the top 3 Fund categories on 30th Jun are Fixed Income Government USA (6) with 0.74%, Equity China - A Shares (6) with 0.72% and Fixed Income Government Eurozone (116) with 0.69%; at the bottom are Equity Emerging Europe (19) with -9.7%, Equity Russia with -3.49% and Equity Sector Natural Resources (20) with -2.65%.
In the last week, the best performers were: Equity China - A Shares (6) with 4.71%, Equity Hong Kong (2) with 4.12% and Equity China (79) with 3.83%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -27.76% and Equity Eastern Europe with -25.96%.
Over the past month, the best performers were: Equity China - A Shares (6) with 12.25%, Equity China (79) with 9.15% and Equity Hong Kong (2) with 6%; the worst: Equity Emerging Europe (19) with -32.06%, Equity Russia with -31.15% and Equity Eastern Europe with -27.78%.
For the past year, the best performers were: Equity Africa & Middle East (7) with 24.23%, Equity Sector Energy (10) with 23.54% and Commodity Broad Based (10) with 17.64%; the worst: Equity Emerging Europe (19) with -41.84%, Equity Russia with -32.18% and Equity Korea (3) with -30.64%.
New highs and lows
All-time high (6) : Fidelity Funds - China Focus Fund Y-Acc-EUR, Aberdeen Standard Liquidity 2, Pramerica Active Beta, Goldman Sachs Liquid Reserves, Goldman Sachs Liquid Reserves Preferred and JPMorgan Liquidity Funds Liquidity
One-year high (8) : Amundi Fds Volatil Euro, Invesco Funds Invesco Global Conservative, Invesco Global Conservative, Amundi Funds Volatility, Amundi Funds Volatility World, Amundi Funds Volatility World, Man GLG Global Emerging Markets Debt Total Return and Amundi Funds - Volatility World G USD (C)
All-time low (193) : Aberdeen Standard Liquidity 2, Aberdeen Standard Select Emerging Markets Bond MInc, Aberdeen Standard Select Emerging Markets Investment Grade Bond MInc, ACATIS IfK Value Renten, ACM Series ACM Canadian Corporate, Allianz Emerging Markets Short Duration Bond, Allianz Geldmarktfonds Spezial, Allianz Global Investors Advanced Fixed Income Short Duration, Allianz Global Investors China Strategic Bond, Allianz Global Investors Dynamic Asian High Yield Bond, Allianz Global Investors Dynamic Asian High Yield Bond, Allianz Global Investors Enhanced Short Term I13, Allianz Global Investors Treasury Short Term Plus, Allianz Global Investors US High Yield, Allianz Monetaire, Allianz Securite, Amundi Fds Cash, Amundi Funds Cash, Amundi Funds Emerging Markets Hard Currency Bond, Amundi Treso Etat, Amundi Oko Sozial Short Term Bond, Ashmore Emerging Markets Corporate Debt, Ashmore Emerging Markets Short Duration, Assenagon Credit Assenagon Credit Selection ESG, Assenagon Select Plus, Assenagon Ultimate Return, AXA World Funds Emerging Markets Short Duration Bonds, Barings Global Umbrella Barings Eastern Europe, Bestinver Corto Plazo, BL Global Bond Opportunities, BlackRock Cash Series Liquidity Heritage, ...
One-year low (1061) : 29 Haussmann Rendement, 3BG Bond Opportunities, 3F Bonds, AB - Global High Yield Portfolio I2 Acc, AB Emerging Markets Multi Asset, AB European Income, AB Global High Yield, AB Global High Yield, AB Short Duration High Yield, AB Short Duration High Yield, Aberdeen Standard Diversified Income MInc, Aberdeen Standard Emerging Markets Bond Fixed Maturity 2023, Aberdeen Standard Emerging Markets Corporate Bond, Aberdeen Standard Emerging Markets Corporate Bond MInc, Aberdeen Standard Emerging Markets Smaller Companies, Aberdeen Standard Emerging Markets Total Return Bond, Aberdeen Standard Select Emerging Markets Bond, AcomeA Breve Termine, AcomeA Eurobbligazionario, Aegon Absolute Return Bond Fund EUR (hedged) C Acc, Aegon European ABS, Aegon High Yield Global Bond, Agoraflex, Algebris Financial Credit, Allianz Global Investors Best Ideas 2025, Allianz Global Investors Credit Opportunities IT13, Allianz Global Investors Credit SRI, Allianz Global Investors Europe Income and Growth, Allianz Global Investors Europe Income and Growth, Allianz Global Investors Floating Rate Notes Plus VarioZins, Allianz Global Investors Global Floating Rate Notes Plus, ...
Signals
Ranking
The change in the top 3 Fund categories on 30th Jun are Fixed Income Government USA (6) with 0.74%, Equity China - A Shares (6) with 0.72% and Fixed Income Government Eurozone (116) with 0.69%; at the bottom are Equity Emerging Europe (19) with -9.7%, Equity Russia with -3.49% and Equity Sector Natural Resources (20) with -2.65%.
In the last week, the best performers were: Equity China - A Shares (6) with 4.71%, Equity Hong Kong (2) with 4.12% and Equity China (79) with 3.83%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -27.76% and Equity Eastern Europe with -25.96%.
Over the past month, the best performers were: Equity China - A Shares (6) with 12.25%, Equity China (79) with 9.15% and Equity Hong Kong (2) with 6%; the worst: Equity Emerging Europe (19) with -32.06%, Equity Russia with -31.15% and Equity Eastern Europe with -27.78%.
For the past year, the best performers were: Equity Africa & Middle East (7) with 24.23%, Equity Sector Energy (10) with 23.54% and Commodity Broad Based (10) with 17.64%; the worst: Equity Emerging Europe (19) with -41.84%, Equity Russia with -32.18% and Equity Korea (3) with -30.64%.
New highs and lows
One-year high (8) : Amundi Fds Volatil Euro, Invesco Funds Invesco Global Conservative, Invesco Global Conservative, Amundi Funds Volatility, Amundi Funds Volatility World, Amundi Funds Volatility World, Man GLG Global Emerging Markets Debt Total Return and Amundi Funds - Volatility World G USD (C)
All-time low (193) : Aberdeen Standard Liquidity 2, Aberdeen Standard Select Emerging Markets Bond MInc, Aberdeen Standard Select Emerging Markets Investment Grade Bond MInc, ACATIS IfK Value Renten, ACM Series ACM Canadian Corporate, Allianz Emerging Markets Short Duration Bond, Allianz Geldmarktfonds Spezial, Allianz Global Investors Advanced Fixed Income Short Duration, Allianz Global Investors China Strategic Bond, Allianz Global Investors Dynamic Asian High Yield Bond, Allianz Global Investors Dynamic Asian High Yield Bond, Allianz Global Investors Enhanced Short Term I13, Allianz Global Investors Treasury Short Term Plus, Allianz Global Investors US High Yield, Allianz Monetaire, Allianz Securite, Amundi Fds Cash, Amundi Funds Cash, Amundi Funds Emerging Markets Hard Currency Bond, Amundi Treso Etat, Amundi Oko Sozial Short Term Bond, Ashmore Emerging Markets Corporate Debt, Ashmore Emerging Markets Short Duration, Assenagon Credit Assenagon Credit Selection ESG, Assenagon Select Plus, Assenagon Ultimate Return, AXA World Funds Emerging Markets Short Duration Bonds, Barings Global Umbrella Barings Eastern Europe, Bestinver Corto Plazo, BL Global Bond Opportunities, BlackRock Cash Series Liquidity Heritage, ...
One-year low (1061) : 29 Haussmann Rendement, 3BG Bond Opportunities, 3F Bonds, AB - Global High Yield Portfolio I2 Acc, AB Emerging Markets Multi Asset, AB European Income, AB Global High Yield, AB Global High Yield, AB Short Duration High Yield, AB Short Duration High Yield, Aberdeen Standard Diversified Income MInc, Aberdeen Standard Emerging Markets Bond Fixed Maturity 2023, Aberdeen Standard Emerging Markets Corporate Bond, Aberdeen Standard Emerging Markets Corporate Bond MInc, Aberdeen Standard Emerging Markets Smaller Companies, Aberdeen Standard Emerging Markets Total Return Bond, Aberdeen Standard Select Emerging Markets Bond, AcomeA Breve Termine, AcomeA Eurobbligazionario, Aegon Absolute Return Bond Fund EUR (hedged) C Acc, Aegon European ABS, Aegon High Yield Global Bond, Agoraflex, Algebris Financial Credit, Allianz Global Investors Best Ideas 2025, Allianz Global Investors Credit Opportunities IT13, Allianz Global Investors Credit SRI, Allianz Global Investors Europe Income and Growth, Allianz Global Investors Europe Income and Growth, Allianz Global Investors Floating Rate Notes Plus VarioZins, Allianz Global Investors Global Floating Rate Notes Plus, ...
The 925 Stock analysed are 25.73% long and ended the trading day with a weighted daily change of -0.47% and a weekly change of 2.06%.
There are 4 new buys (CK Life Sciences Intl Holdings Inc, Finning International Inc., Russel Metals Inc. and Yuexiu Transport Infrastructure Ltd) and 4 new sell (Artis Real Estate Investment Trust Pref E, K92 Mining Inc, New Gold Inc and Orient Overseas International Ltd)
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 26.49% of the total and a change of 3.18%, followed by the "Lack" group accounting for 50.49% and a change of 1.94% and the "Growth" group accounting for 23.03% and a change of 1.11%.
The change in the top 3 Stock categories on 30th Jun are Education Services (37) with 30.48%, Asset Management & Custody Banks (136) with 8.82% and Health Care Services (30) with 3.02%; at the bottom are Department Stores (12) with -3.3%, Semiconductor Equipment (49) with -3.25% and Metals & Mining - Precious Metals & Minerals (11) with -3.23%.
In the last week, the best performers were: Education Services (37) with 30.87%, Pharmaceuticals (180) with 6.43% and Food / Beverage & Tobacco - Brewers (15) with 4.19%; the worst: Internet Services & Infrastructure (28) with -13.55%, Homefurnishing Retail (9) with -10.65% and Department Stores (12) with -9.98%.
Over the past month, the best performers were: Education Services (37) with 68.49%, Biotechnology (303) with 12% and Health Care Technology (27) with 7.4%; the worst: Oil & Gas Equipment & Services (27) with -24.54%, Transportation - Marine (33) with -20.8% and Tires & Rubber (7) with -20.37%.
For the past year, the best performers were: Coal & Consumable Fuels (18) with 60.33%, Oil & Gas Exploration & Production (58) with 52.61% and Independent Power Producers & Energy Traders (25) with 39.46%; the worst: Internet & Direct Marketing Retail (60) with -54.28%, Internet Services & Infrastructure (28) with -49.22% and Metals & Mining - Silver (16) with -49.12%.
New highs and lows
All-time high (19) : Argen-X, FTI Consulting Inc, Shaanxi Coal Industry Co Ltd, Fope S.p.A, TCL Zhonghuan Renewable Energy Technology Co Ltd, Humana Inc, General Mills Inc, Tassal Group Ltd, China Yangtze Power Co Ltd, Yuexiu Property Co Ltd, Greentown China Holdings Ltd, H&R Block Inc, Datto Holding Corp, MGM Growth Properties LLC, Adva Optical Networking SE, Ultra Electronics Holdings PLC, Macquarie Infrastructure Co, Thurgauer Kantonalbank and Odfjell SE
One-year high (20) : Booz Allen Hamilton Holding, Sudzucker AG, Air China Ltd, GD Power Development Co Ltd, Crown Ltd, Sydney Airport Limited, Qinetiq Group PLC, Clariant AG, Valartis Group AG, Western Areas Ltd, AKKA Technologies SE, UNITIL Corporation, ATN International Inc, Silverlake Axis Ltd, Cathay Pacific Airways Limited, Origin Enterprises Plc, OptiNose, Consolidated Water Co Ltd, Banque Cantonale de Geneve and Neurotech International Ltd
All-time low (66) : Radici Pietro Industries & Brands S.p.A, Roto-Gro International Limited, HyreCar Inc, Stem Holdings Inc, Shedir Pharma Group, Addex Therapeutics Ltd, Deutsche Lufthansa AG ADR, Visibilia Editore SpA, MCH Group AG, Performance Shipping Inc, Gold Standard Ventures Corp, Bone Therapeutics SA, Medipharm Labs Corp, Aeglea Bio Therapeutics Inc, Aquestive Therapeutics Inc, Kala Pharmaceuticals Inc, ILLA SpA, WM Capital S.p.A, Servizi Italia S.p.A, Neosperience SpA, Cue Biopharma, KI Group, Blackstone Resources AG, Kudelski, Vpower Group International Holdings Ltd, 4Aim Societa di Investimento per Azioni a Capitale Fisso, Matrix Service Co, ePRICE S.p.A., Iervolino Entertainment SpA, Zhongliang Holdings Group Co Ltd, Wisekey International Holding AG, ...
One-year low (390) : Kore Mining Ltd, Monnalisa S.p.A, Mondo TV Suisse SA, Avino Silver & Gold Mines Ltd, E2 Metals Ltd, Bakkavor Group PLC, Mint SA, Orion Energy Systems Inc, Westwing Group AG, Bergman & Beving AB (publ), Surteco Group SE, Grammer AG, N Brown Group PLC, Mondo TV France Societe Anonyme, Mobius Investment Trust PLC, Medicine Man Technologies Inc, Hotel Chocolat Group PLC, IMPACT Silver Corp., Hanmi Science, Alfio Bardolla Training Group SpA, Bear Creek Mining Corporation, General de Alquiler de Maquinaria SA, Investment AB Oresund, Blue Bird Corp, Orascom Development Holding AG, Creso Pharma Ltd, SpareBank 1 Ostlandet, Columbia Care Inc, Planet 13 Holdings Inc, Burcon NutraScience Corporation, Metalla Royalty & Streaming Ltd, ...
Signals
Ranking
The change in the top 3 Stock categories on 30th Jun are Education Services (37) with 30.48%, Asset Management & Custody Banks (136) with 8.82% and Health Care Services (30) with 3.02%; at the bottom are Department Stores (12) with -3.3%, Semiconductor Equipment (49) with -3.25% and Metals & Mining - Precious Metals & Minerals (11) with -3.23%.
In the last week, the best performers were: Education Services (37) with 30.87%, Pharmaceuticals (180) with 6.43% and Food / Beverage & Tobacco - Brewers (15) with 4.19%; the worst: Internet Services & Infrastructure (28) with -13.55%, Homefurnishing Retail (9) with -10.65% and Department Stores (12) with -9.98%.
Over the past month, the best performers were: Education Services (37) with 68.49%, Biotechnology (303) with 12% and Health Care Technology (27) with 7.4%; the worst: Oil & Gas Equipment & Services (27) with -24.54%, Transportation - Marine (33) with -20.8% and Tires & Rubber (7) with -20.37%.
For the past year, the best performers were: Coal & Consumable Fuels (18) with 60.33%, Oil & Gas Exploration & Production (58) with 52.61% and Independent Power Producers & Energy Traders (25) with 39.46%; the worst: Internet & Direct Marketing Retail (60) with -54.28%, Internet Services & Infrastructure (28) with -49.22% and Metals & Mining - Silver (16) with -49.12%.
New highs and lows
One-year high (20) : Booz Allen Hamilton Holding, Sudzucker AG, Air China Ltd, GD Power Development Co Ltd, Crown Ltd, Sydney Airport Limited, Qinetiq Group PLC, Clariant AG, Valartis Group AG, Western Areas Ltd, AKKA Technologies SE, UNITIL Corporation, ATN International Inc, Silverlake Axis Ltd, Cathay Pacific Airways Limited, Origin Enterprises Plc, OptiNose, Consolidated Water Co Ltd, Banque Cantonale de Geneve and Neurotech International Ltd
All-time low (66) : Radici Pietro Industries & Brands S.p.A, Roto-Gro International Limited, HyreCar Inc, Stem Holdings Inc, Shedir Pharma Group, Addex Therapeutics Ltd, Deutsche Lufthansa AG ADR, Visibilia Editore SpA, MCH Group AG, Performance Shipping Inc, Gold Standard Ventures Corp, Bone Therapeutics SA, Medipharm Labs Corp, Aeglea Bio Therapeutics Inc, Aquestive Therapeutics Inc, Kala Pharmaceuticals Inc, ILLA SpA, WM Capital S.p.A, Servizi Italia S.p.A, Neosperience SpA, Cue Biopharma, KI Group, Blackstone Resources AG, Kudelski, Vpower Group International Holdings Ltd, 4Aim Societa di Investimento per Azioni a Capitale Fisso, Matrix Service Co, ePRICE S.p.A., Iervolino Entertainment SpA, Zhongliang Holdings Group Co Ltd, Wisekey International Holding AG, ...
One-year low (390) : Kore Mining Ltd, Monnalisa S.p.A, Mondo TV Suisse SA, Avino Silver & Gold Mines Ltd, E2 Metals Ltd, Bakkavor Group PLC, Mint SA, Orion Energy Systems Inc, Westwing Group AG, Bergman & Beving AB (publ), Surteco Group SE, Grammer AG, N Brown Group PLC, Mondo TV France Societe Anonyme, Mobius Investment Trust PLC, Medicine Man Technologies Inc, Hotel Chocolat Group PLC, IMPACT Silver Corp., Hanmi Science, Alfio Bardolla Training Group SpA, Bear Creek Mining Corporation, General de Alquiler de Maquinaria SA, Investment AB Oresund, Blue Bird Corp, Orascom Development Holding AG, Creso Pharma Ltd, SpareBank 1 Ostlandet, Columbia Care Inc, Planet 13 Holdings Inc, Burcon NutraScience Corporation, Metalla Royalty & Streaming Ltd, ...
The 80 Etf analysed are 26.25% long and ended the trading day with a weighted daily change of -0.92% and a weekly change of -0.02%.
There are 2 new buys (Lyxor PEA S&P 500 Couverte en and WisdomTree Physical Platinum). With the new changes, long positions will increase by 2.5%.
Etfs ranked by performance class had the best weekly returns with the "Value" group accounting for 28.75% of the total and a change of 0.66%, followed by the "Growth" group accounting for 41.25% and a change of 0% and the "Lack" group accounting for 30% and a change of -0.68%.
The change in the top 3 Etf categories on 30th Jun are Short-Commodity Industrial Metals (3) with 3.21%, Equity Sector Utilities (14) with 2.39% and Equity Sector Infrastructure (9) with 1.81%; at the bottom are Commodity Agriculture (28) with -3.37%, Equity Russia with -3.34% and Equity Greece (3) with -2.25%.
In the last week, the best performers were: Short-Commodity Industrial Metals (3) with 4.91%, Short-Equity USA (2) with 4.66% and Equity Pakistan (2) with 4.03%; the worst: Equity Russia with -56.31%, Equity Eastern Europe (5) with -16.62% and Equity Thematic Blockchain (3) with -6.67%.
Over the past month, the best performers were: Equity World (102) with 120.73%, Short-Commodity Industrial Metals (3) with 25.27% and Short-Commodity Energy (4) with 16.72%; the worst: Equity Russia with -79.87%, Equity Eastern Europe (5) with -26.94% and Equity Brazil (16) with -17.69%.
For the past year, the best performers were: Equity World (102) with 126.34%, Commodity Energy (21) with 81.91% and Commodity Broad Based (47) with 39.29%; the worst: Equity Russia with -77%, Equity Thematic Cannabis (3) with -57.98% and Short-Commodity Energy (4) with -50.04%.
New highs and lows
All-time high (4) : iShares Usd TIPS 0 5, Xtrackers II Overnight Rate Swap, UBS Bloomberg Barclays TIPS 1 10 and WisdomTree Short Long
One-year high (17) : Vanguard Treasury Bond, WisdomTree Copper 1x Daily Short, iShares Usd Treasury Bond 1-3yr, iShares Public Limited Company iShares Usd Treasury Bond 1-3yr, Lyxor Fed Funds US Dollar Cash, WisdomTree Copper 1x Daily Short, SPDR Bloomberg Barclays 1-3 Year U.S. Treasury Bond, iShares Usd Ultrashort Bond, WisdomTree Silver 1x Daily Short, Xtrackers II US Treasuries 1-3, Amundi Index Solutions - Amundi MSCI China UCITS ETF-C EUR, iShares Usd Short Duration Corp Bond, iShares VII Public Limited Company iShares Usd Treasury Bond 3-7yr, Vanguard Corporate 1-3 year Bond, WisdomTree Long Short, UBS FTSE 100 and Tabula European Itraxx Crossover Credit Short J
All-time low (22) : Horizons Marijuana Life Sciences Index, iShares MSCI Eastern Europe Capped, SPDR Bloomberg Barclays Global Aggregate Bond Hedged, SI UC Refinitiv European Convertible Bond, Lyxor MSCI Russia, Invesco RDX, iShares Public Limited Company iShares MSCI Eastern Europe Capped, Tabula iTraxx IG Bond Index Distributing, Xtrackers MSCI Russia Capped Swap, iShares MSCI Europe Information Technology Sector, HSBC MSCI Russia Capped, Xtrackers MSCI Russia Capped Swap, Xtrackers II Overnight Rate Swap, WisdomTree Short Long 5x Daily, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, WisdomTree Short Long, HSBC MSCI Russia Capped, ARK Space Exploration & Innovation ETF, Lyxor MSCI Russia, Xtrackers II Overnight Rate Swap and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (127) : Xtrackers MSCI Africa Top 50 Swap, Deka Germany 30, Lyxor Portfolio Strategy, Xtrackers - MSCI Europe Small Cap UCITS ETF, HSBC MSCI Brazil, Xtrackers FTSE 250, Invesco RDX, Xtrackers MSCI Korea, Invesco Quantitative Strategies ESG Global Equity Multi Factor PfHedged, Ossiam World ESG Machine Learning 1A, UBS SICAV MSCI Canada, BNP Paribas Easy Equity Momentum Europe, Xtrackers FTSE Developed Europe ex UK Real Estate, iShares Public Limited Company iShares Global High Yield Corp Bond, UBS J.P. Morgan EM Diversified Bond 1-5, Lyxor PEA Immobilier Europe (FTSE EPRA/NAREIT), Invesco MDAX, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Ossiam US ESG Low Carbon Equity Factors 1A, Xtrackers FTSE Developed Europe Real Estate, Invesco Materials S&P US Select Sector, iShares MSCI EM Small, Amundi Index Solutions - Amundi FTSE EPRA Europe Real Estate UCITS ETF-C, Lyxor MSCI Korea, Deka DAX ex Financials 30, Xtrackers MSCI Africa Top 50 Swap, BNP Paribas Easy FTSE EPRA/NAREIT Eurozone Capped, BNP Paribas Easy Equity Value Europe, BNP Paribas Easy FTSE EPRA/NAREIT Developed Europe QD, SPDR MSCI Europe Technology, BNP Paribas Easy MSCI Europe Small Caps SRI S Series 5% Capped Capitalisation, ...
Signals
Ranking
The change in the top 3 Etf categories on 30th Jun are Short-Commodity Industrial Metals (3) with 3.21%, Equity Sector Utilities (14) with 2.39% and Equity Sector Infrastructure (9) with 1.81%; at the bottom are Commodity Agriculture (28) with -3.37%, Equity Russia with -3.34% and Equity Greece (3) with -2.25%.
In the last week, the best performers were: Short-Commodity Industrial Metals (3) with 4.91%, Short-Equity USA (2) with 4.66% and Equity Pakistan (2) with 4.03%; the worst: Equity Russia with -56.31%, Equity Eastern Europe (5) with -16.62% and Equity Thematic Blockchain (3) with -6.67%.
Over the past month, the best performers were: Equity World (102) with 120.73%, Short-Commodity Industrial Metals (3) with 25.27% and Short-Commodity Energy (4) with 16.72%; the worst: Equity Russia with -79.87%, Equity Eastern Europe (5) with -26.94% and Equity Brazil (16) with -17.69%.
For the past year, the best performers were: Equity World (102) with 126.34%, Commodity Energy (21) with 81.91% and Commodity Broad Based (47) with 39.29%; the worst: Equity Russia with -77%, Equity Thematic Cannabis (3) with -57.98% and Short-Commodity Energy (4) with -50.04%.
New highs and lows
One-year high (17) : Vanguard Treasury Bond, WisdomTree Copper 1x Daily Short, iShares Usd Treasury Bond 1-3yr, iShares Public Limited Company iShares Usd Treasury Bond 1-3yr, Lyxor Fed Funds US Dollar Cash, WisdomTree Copper 1x Daily Short, SPDR Bloomberg Barclays 1-3 Year U.S. Treasury Bond, iShares Usd Ultrashort Bond, WisdomTree Silver 1x Daily Short, Xtrackers II US Treasuries 1-3, Amundi Index Solutions - Amundi MSCI China UCITS ETF-C EUR, iShares Usd Short Duration Corp Bond, iShares VII Public Limited Company iShares Usd Treasury Bond 3-7yr, Vanguard Corporate 1-3 year Bond, WisdomTree Long Short, UBS FTSE 100 and Tabula European Itraxx Crossover Credit Short J
All-time low (22) : Horizons Marijuana Life Sciences Index, iShares MSCI Eastern Europe Capped, SPDR Bloomberg Barclays Global Aggregate Bond Hedged, SI UC Refinitiv European Convertible Bond, Lyxor MSCI Russia, Invesco RDX, iShares Public Limited Company iShares MSCI Eastern Europe Capped, Tabula iTraxx IG Bond Index Distributing, Xtrackers MSCI Russia Capped Swap, iShares MSCI Europe Information Technology Sector, HSBC MSCI Russia Capped, Xtrackers MSCI Russia Capped Swap, Xtrackers II Overnight Rate Swap, WisdomTree Short Long 5x Daily, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, WisdomTree Short Long, HSBC MSCI Russia Capped, ARK Space Exploration & Innovation ETF, Lyxor MSCI Russia, Xtrackers II Overnight Rate Swap and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (127) : Xtrackers MSCI Africa Top 50 Swap, Deka Germany 30, Lyxor Portfolio Strategy, Xtrackers - MSCI Europe Small Cap UCITS ETF, HSBC MSCI Brazil, Xtrackers FTSE 250, Invesco RDX, Xtrackers MSCI Korea, Invesco Quantitative Strategies ESG Global Equity Multi Factor PfHedged, Ossiam World ESG Machine Learning 1A, UBS SICAV MSCI Canada, BNP Paribas Easy Equity Momentum Europe, Xtrackers FTSE Developed Europe ex UK Real Estate, iShares Public Limited Company iShares Global High Yield Corp Bond, UBS J.P. Morgan EM Diversified Bond 1-5, Lyxor PEA Immobilier Europe (FTSE EPRA/NAREIT), Invesco MDAX, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Ossiam US ESG Low Carbon Equity Factors 1A, Xtrackers FTSE Developed Europe Real Estate, Invesco Materials S&P US Select Sector, iShares MSCI EM Small, Amundi Index Solutions - Amundi FTSE EPRA Europe Real Estate UCITS ETF-C, Lyxor MSCI Korea, Deka DAX ex Financials 30, Xtrackers MSCI Africa Top 50 Swap, BNP Paribas Easy FTSE EPRA/NAREIT Eurozone Capped, BNP Paribas Easy Equity Value Europe, BNP Paribas Easy FTSE EPRA/NAREIT Developed Europe QD, SPDR MSCI Europe Technology, BNP Paribas Easy MSCI Europe Small Caps SRI S Series 5% Capped Capitalisation, ...
Markets close on 29th Jun
The 774 Fund analysed are 18.35% long and ended the trading day with a weighted daily change of -0.2% and a weekly change of 0.56%.
There are 9 new buys (AZ 1 Bond Aggregate Short Term, CPR Invest Megatrends, DNCA Invest Evolutif, Generali Galileo, Kutxabank Bolsa EEUU Estandar, Managed Core Satellite Dynamic, Moorea Gestion Patrimoniale, Multicooperation Julius Baer Strategy Growth and THEAM Quant Equity World GURU) and one new sell (Pictet Short Term Emerging Corporate Bonds I USD in GB). With the new changes, long positions will increase by 1.03%.
Funds ranked by performance class had the best weekly returns with the "Growth" group accounting for 31.14% of the total and a change of 1.02%, followed by the "Value" group accounting for 25.32% and a change of 0.41% and the "Lack" group accounting for 43.54% and a change of 0.33%.
The change in the top 3 Fund categories on 29th Jun are Fixed Income Government USA (6) with 0.74%, Equity China - A Shares (6) with 0.72% and Fixed Income Government Eurozone (116) with 0.69%; at the bottom are Equity Emerging Europe (19) with -9.7%, Equity Russia with -3.49% and Equity Sector Natural Resources (20) with -2.65%.
In the last week, the best performers were: Equity China - A Shares (6) with 4.71%, Equity Hong Kong (2) with 4.12% and Equity China (79) with 3.83%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -27.76% and Equity Eastern Europe with -25.96%.
Over the past month, the best performers were: Equity China - A Shares (6) with 12.25%, Equity China (79) with 9.15% and Equity Hong Kong (2) with 6%; the worst: Equity Emerging Europe (19) with -32.06%, Equity Russia with -31.15% and Equity Eastern Europe with -27.78%.
For the past year, the best performers were: Equity Africa & Middle East (7) with 24.23%, Equity Sector Energy (10) with 23.54% and Commodity Broad Based (10) with 17.64%; the worst: Equity Emerging Europe (19) with -41.84%, Equity Russia with -32.18% and Equity Korea (3) with -30.64%.
New highs and lows
All-time high (6) : Fidelity Funds - China Focus Fund Y-Acc-EUR, Aberdeen Standard Liquidity 2, Pramerica Active Beta, Goldman Sachs Liquid Reserves, Goldman Sachs Liquid Reserves Preferred and JPMorgan Liquidity Funds Liquidity
One-year high (8) : Amundi Fds Volatil Euro, Invesco Funds Invesco Global Conservative, Invesco Global Conservative, Amundi Funds Volatility, Amundi Funds Volatility World, Amundi Funds Volatility World, Man GLG Global Emerging Markets Debt Total Return and Amundi Funds - Volatility World G USD (C)
All-time low (193) : Aberdeen Standard Liquidity 2, Aberdeen Standard Select Emerging Markets Bond MInc, Aberdeen Standard Select Emerging Markets Investment Grade Bond MInc, ACATIS IfK Value Renten, ACM Series ACM Canadian Corporate, Allianz Emerging Markets Short Duration Bond, Allianz Geldmarktfonds Spezial, Allianz Global Investors Advanced Fixed Income Short Duration, Allianz Global Investors China Strategic Bond, Allianz Global Investors Dynamic Asian High Yield Bond, Allianz Global Investors Dynamic Asian High Yield Bond, Allianz Global Investors Enhanced Short Term I13, Allianz Global Investors Treasury Short Term Plus, Allianz Global Investors US High Yield, Allianz Monetaire, Allianz Securite, Amundi Fds Cash, Amundi Funds Cash, Amundi Funds Emerging Markets Hard Currency Bond, Amundi Treso Etat, Amundi Oko Sozial Short Term Bond, Ashmore Emerging Markets Corporate Debt, Ashmore Emerging Markets Short Duration, Assenagon Credit Assenagon Credit Selection ESG, Assenagon Select Plus, Assenagon Ultimate Return, AXA World Funds Emerging Markets Short Duration Bonds, Barings Global Umbrella Barings Eastern Europe, Bestinver Corto Plazo, BL Global Bond Opportunities, BlackRock Cash Series Liquidity Heritage, ...
One-year low (1061) : 29 Haussmann Rendement, 3BG Bond Opportunities, 3F Bonds, AB - Global High Yield Portfolio I2 Acc, AB Emerging Markets Multi Asset, AB European Income, AB Global High Yield, AB Global High Yield, AB Short Duration High Yield, AB Short Duration High Yield, Aberdeen Standard Diversified Income MInc, Aberdeen Standard Emerging Markets Bond Fixed Maturity 2023, Aberdeen Standard Emerging Markets Corporate Bond, Aberdeen Standard Emerging Markets Corporate Bond MInc, Aberdeen Standard Emerging Markets Smaller Companies, Aberdeen Standard Emerging Markets Total Return Bond, Aberdeen Standard Select Emerging Markets Bond, AcomeA Breve Termine, AcomeA Eurobbligazionario, Aegon Absolute Return Bond Fund EUR (hedged) C Acc, Aegon European ABS, Aegon High Yield Global Bond, Agoraflex, Algebris Financial Credit, Allianz Global Investors Best Ideas 2025, Allianz Global Investors Credit Opportunities IT13, Allianz Global Investors Credit SRI, Allianz Global Investors Europe Income and Growth, Allianz Global Investors Europe Income and Growth, Allianz Global Investors Floating Rate Notes Plus VarioZins, Allianz Global Investors Global Floating Rate Notes Plus, ...
Signals
Ranking
The change in the top 3 Fund categories on 29th Jun are Fixed Income Government USA (6) with 0.74%, Equity China - A Shares (6) with 0.72% and Fixed Income Government Eurozone (116) with 0.69%; at the bottom are Equity Emerging Europe (19) with -9.7%, Equity Russia with -3.49% and Equity Sector Natural Resources (20) with -2.65%.
In the last week, the best performers were: Equity China - A Shares (6) with 4.71%, Equity Hong Kong (2) with 4.12% and Equity China (79) with 3.83%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -27.76% and Equity Eastern Europe with -25.96%.
Over the past month, the best performers were: Equity China - A Shares (6) with 12.25%, Equity China (79) with 9.15% and Equity Hong Kong (2) with 6%; the worst: Equity Emerging Europe (19) with -32.06%, Equity Russia with -31.15% and Equity Eastern Europe with -27.78%.
For the past year, the best performers were: Equity Africa & Middle East (7) with 24.23%, Equity Sector Energy (10) with 23.54% and Commodity Broad Based (10) with 17.64%; the worst: Equity Emerging Europe (19) with -41.84%, Equity Russia with -32.18% and Equity Korea (3) with -30.64%.
New highs and lows
One-year high (8) : Amundi Fds Volatil Euro, Invesco Funds Invesco Global Conservative, Invesco Global Conservative, Amundi Funds Volatility, Amundi Funds Volatility World, Amundi Funds Volatility World, Man GLG Global Emerging Markets Debt Total Return and Amundi Funds - Volatility World G USD (C)
All-time low (193) : Aberdeen Standard Liquidity 2, Aberdeen Standard Select Emerging Markets Bond MInc, Aberdeen Standard Select Emerging Markets Investment Grade Bond MInc, ACATIS IfK Value Renten, ACM Series ACM Canadian Corporate, Allianz Emerging Markets Short Duration Bond, Allianz Geldmarktfonds Spezial, Allianz Global Investors Advanced Fixed Income Short Duration, Allianz Global Investors China Strategic Bond, Allianz Global Investors Dynamic Asian High Yield Bond, Allianz Global Investors Dynamic Asian High Yield Bond, Allianz Global Investors Enhanced Short Term I13, Allianz Global Investors Treasury Short Term Plus, Allianz Global Investors US High Yield, Allianz Monetaire, Allianz Securite, Amundi Fds Cash, Amundi Funds Cash, Amundi Funds Emerging Markets Hard Currency Bond, Amundi Treso Etat, Amundi Oko Sozial Short Term Bond, Ashmore Emerging Markets Corporate Debt, Ashmore Emerging Markets Short Duration, Assenagon Credit Assenagon Credit Selection ESG, Assenagon Select Plus, Assenagon Ultimate Return, AXA World Funds Emerging Markets Short Duration Bonds, Barings Global Umbrella Barings Eastern Europe, Bestinver Corto Plazo, BL Global Bond Opportunities, BlackRock Cash Series Liquidity Heritage, ...
One-year low (1061) : 29 Haussmann Rendement, 3BG Bond Opportunities, 3F Bonds, AB - Global High Yield Portfolio I2 Acc, AB Emerging Markets Multi Asset, AB European Income, AB Global High Yield, AB Global High Yield, AB Short Duration High Yield, AB Short Duration High Yield, Aberdeen Standard Diversified Income MInc, Aberdeen Standard Emerging Markets Bond Fixed Maturity 2023, Aberdeen Standard Emerging Markets Corporate Bond, Aberdeen Standard Emerging Markets Corporate Bond MInc, Aberdeen Standard Emerging Markets Smaller Companies, Aberdeen Standard Emerging Markets Total Return Bond, Aberdeen Standard Select Emerging Markets Bond, AcomeA Breve Termine, AcomeA Eurobbligazionario, Aegon Absolute Return Bond Fund EUR (hedged) C Acc, Aegon European ABS, Aegon High Yield Global Bond, Agoraflex, Algebris Financial Credit, Allianz Global Investors Best Ideas 2025, Allianz Global Investors Credit Opportunities IT13, Allianz Global Investors Credit SRI, Allianz Global Investors Europe Income and Growth, Allianz Global Investors Europe Income and Growth, Allianz Global Investors Floating Rate Notes Plus VarioZins, Allianz Global Investors Global Floating Rate Notes Plus, ...