Top 10 Aindexes
1) AIndex Food & Staples Retailing - L10 with
Costco Wholesale Corp,
Albertsons Companies and
Walmart Inc
2) AIndex Australia - L20 with
Vulcan Energy Resources Ltd,
Appen Ltd and
Chalice Mining Limited
3) AIndex Road & Rail - L10 with
Schneider National Inc,
Uber Technologies Inc and
CSX Corporation
4) AIndex Stock USD Growth - L05 with
Sea Ltd,
Trupanion Inc and
Cintas Corporation
5) AIndex Clean Energy - L10 with
Siemens Energy AG,
Companhia Energetica de Minas Gerais CEMIG Pref ADR and
Companhia Paranaense de Energia Pref ADR
6) AIndex Electric Utilities - L10 with
Companhia Paranaense de Energia Pref ADR,
Hydro One Ltd and
Exelon Corporation
7) AIndex Water Utilities - L10 with
Companhia de Saneamento Basico do Estado de Sao Paulo SABESP ADR,
American Water Works and
Essential Utilities Inc
8) AIndex Clean Water - L10 with
Companhia de Saneamento Basico do Estado de Sao Paulo SABESP ADR,
American Water Works and
Tetra Tech Inc
9) AIndex Nasdaq Biotechnology - L10 with
Arbutus Biopharma Corp,
Kalvista Pharmaceuticals Inc and
Castle Biosciences Inc
10) AIndex Agribusiness - L10 with
Associated British Foods PLC,
Adecoagro SA and
Pilgrims Pride Corp



2) AIndex Australia - L20 with



3) AIndex Road & Rail - L10 with



4) AIndex Stock USD Growth - L05 with



5) AIndex Clean Energy - L10 with



6) AIndex Electric Utilities - L10 with



7) AIndex Water Utilities - L10 with



8) AIndex Clean Water - L10 with



9) AIndex Nasdaq Biotechnology - L10 with



10) AIndex Agribusiness - L10 with



1) AIndex Crypto - Top - L10 with Sushi, XRP and IOTA
2) AIndex Crypto - BitStamp - L10 with Polkadot [IOU], XRP and Cardano
3) AIndex Crypto - Revolut - L10 with Sushi, Enjin Coin and XRP
4) AIndex Global Gold & Silver Miners - L20 with
Sibanye Gold Ltd ADR,
Orla Mining Ltd and
AngloGold Ashanti plc
5) AIndex Italy PIR - Small - L10 with
Il Sole 24 Ore SpA,
Piquadro and
Industrie Chimiche Forestali SpA
6) AIndex Construction & Engineering - L10 with
Duro Felguera,
Strabag SE and
Eiffage SA
7) AIndex Stock EUR Growth - L05 with
Vonovia SE,
Munchener Ruck AG and
Allianz SE VNA O.N.
8) AIndex STOXX Europe 600 - Multicurrency - L10 with
Fresenius SE & Co. KGaA,
BAE Systems plc and
BT Group Plc
9) AIndex Italy PIR 30 with
Il Sole 24 Ore SpA,
Newlat Food S.p.A and
Fiera Milano SpA
10) AIndex Stock USD Lack - L05 with
Harmony Gold Mining Company Limited,
Alibaba Group Holding Ltd and
Uber Technologies Inc
2) AIndex Crypto - BitStamp - L10 with Polkadot [IOU], XRP and Cardano
3) AIndex Crypto - Revolut - L10 with Sushi, Enjin Coin and XRP
4) AIndex Global Gold & Silver Miners - L20 with



5) AIndex Italy PIR - Small - L10 with



6) AIndex Construction & Engineering - L10 with



7) AIndex Stock EUR Growth - L05 with



8) AIndex STOXX Europe 600 - Multicurrency - L10 with



9) AIndex Italy PIR 30 with



10) AIndex Stock USD Lack - L05 with



1) AIndex Crypto - Revolut - L10 with XRP, Dogecoin and Enjin Coin
2) AIndex Crypto - Top - L10 with XRP, IOTA and Sushi
3) AIndex Crypto - BitStamp - L10 with Cardano, XRP and Polkadot [IOU]
4) AIndex Italy PIR - Small - L10 with
Il Sole 24 Ore SpA,
Industrie Chimiche Forestali SpA and
Piquadro
5) AIndex Food & Staples Retailing - L10 with
Caseys General Stores Inc,
Costco Wholesale Corp and
George Weston Limited
6) AIndex Stock USD Lack - L05 with
Harmony Gold Mining Company Limited,
Uber Technologies Inc and
Alibaba Group Holding Ltd
7) AIndex Food Products - L10 with
Newlat Food S.p.A,
Associated British Foods PLC and
Premier Foods PLC
8) AIndex Etf USD Lack - L05 with
VanEck Vectors Gold Miners,
Xtrackers II Overnight Rate Swap and
iShares VII PLC iShares Usd Treasury Bd 7-10y
9) AIndex Water Utilities - L10 with
United Utilities Group PLC,
Severn Trent PLC and
American States Water Company
10) AIndex Italy PIR 30 with
Il Sole 24 Ore SpA,
Newlat Food S.p.A and
I Grandi Viaggi SpA
2) AIndex Crypto - Top - L10 with XRP, IOTA and Sushi
3) AIndex Crypto - BitStamp - L10 with Cardano, XRP and Polkadot [IOU]
4) AIndex Italy PIR - Small - L10 with



5) AIndex Food & Staples Retailing - L10 with



6) AIndex Stock USD Lack - L05 with



7) AIndex Food Products - L10 with



8) AIndex Etf USD Lack - L05 with



9) AIndex Water Utilities - L10 with



10) AIndex Italy PIR 30 with



Long stocks to watch
(RHM/DE0007030009), listed in Germany, closed the day's trading on 17th Apr at 1464 EUR with a daily change of -1.38%. The Stock's five-year performance is mostly growth. AI bought the Stock at 542 on 8th Nov 2024 and now gains 170.11%, the stop profit which is currently positioned at 1232.55 is 15.81% away from the last closing value and corresponds to 0.43 standard deviations (36.75%). In the last 4 weeks during its upward movement, the average volume during negative days is t...
Category: Stock - Aerospace & Defense
ISIN: DE0007030009 Curncy: EUR Country: 

(MUV2/DE0008430026), listed in Germany, closed the day's trading on 17th Apr at 600 EUR with a daily change of 1.08%. 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 589 on 16th Apr and now gains 1.87%, the stop loss which is currently positioned at 505.58 is 15.74% away from the last closing value and corresponds to 0.67 standard deviations (23.55%). In the last 4 weeks during its upward movemen...
Category: Stock - Reinsurance
ISIN: DE0008430026 Curncy: EUR Country: 

(CBK/DE000CBK1001), listed in Germany, closed the day's trading on 17th Apr at 22.84 EUR with a daily change of -1.38%. The Stock's five-year performance is mostly growth. AI bought the Stock at 24.3 on 18th Mar and now loses -6.01%, the stop loss which is currently positioned at 18.635 is 18.41% away from the last closing value and corresponds to 0.42 standard deviations (43.65%). The Stock started its descent from the main cycle high at 1 o'clock from 15th Apr. The AI system,...
Category: Stock - Diversified Banks
ISIN: DE000CBK1001 Curncy: EUR Country: 

(LDO/IT0003856405), listed in Italy, closed the day's trading on 17th Apr at 45.05 EUR with a daily change of -0.6%. The Stock's five-year performance is mostly growth. AI bought the Stock at 8.436 on 18th Jan 2023 and now gains 434.04%, the stop profit which is currently positioned at 38.568 is 14.39% away from the last closing value and corresponds to 0.36 standard deviations (39.64%). In the last 4 weeks during its downward movement, the average volume during negative days is...
Category: Stock - Aerospace & Defense
ISIN: IT0003856405 Curncy: EUR Country: 

(GCO/ES0116920333), listed in Spain, closed the day's trading on 17th Apr at 48.95 EUR with a daily change of 0.1%. The Stock's five-year performance is mostly growth. AI bought the Stock at 48.15 on 9th Apr and now gains 1.66%, the stop loss which is currently positioned at 40.149 is 17.98% away from the last closing value and corresponds to 0.64 standard deviations (28.26%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 42.3 to 48.9 on...
Category: Stock - Multi-line Insurance
ISIN: ES0116920333 Curncy: EUR Country: 

(SFM/US85208M1027), listed in USA, closed the day's trading on 17th Apr at 160.15 USD with a daily change of 0.45%. The Stock's five-year performance is mostly growth. AI bought the Stock at 137.99 on 21st Mar and now gains 16.06%, the stop profit which is currently positioned at 148.14 is 7.5% away from the last closing value and corresponds to 0.2 standard deviations (36.96%). The Stock is at main cycle high at 12 o'clock from 14th Apr. The AI system, in the 2946 market days ...
Category: Stock - Food & Staples Retailing: Food Retail
ISIN: US85208M1027 Curncy: USD Country: 

(LLY/US5324571083), listed in USA, closed the day's trading on 17th Apr at 839.96 USD with a daily change of 14.3%. The Stock's five-year performance is mostly growth. AI bought the Stock at 840.8 on 17th Apr and now loses -0.1%, the stop loss which is currently positioned at 688.28 is 18.06% away from the last closing value and corresponds to 0.7 standard deviations (25.8%). In the last 4 weeks during its sideways movement it has opened 2 daily gaps of more than 1.3% extension ...
Category: Stock - Pharmaceuticals
ISIN: US5324571083 Curncy: USD Country: 

(CTAS/US1729081059), listed in USA, closed the day's trading on 17th Apr at 205.76 USD with a daily change of 0.51%. The Stock's five-year performance is mostly growth. AI bought the Stock at 210.13 on 15th Apr and now loses -2.08%, the stop loss which is currently positioned at 181.02 is 12.03% away from the last closing value and corresponds to 0.48 standard deviations (25.24%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 195.05 to 2...
Category: Stock - Diversified Support Services
ISIN: US1729081059 Curncy: USD Country: 

(AMP/US03076C1062), listed in USA, closed the day's trading on 17th Apr at 464.56 USD with a daily change of 0.29%. The Stock's five-year performance is mostly growth. 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 439.62 to 455.17 opened on 4th Apr, closing it on 9th Apr. The Stock continues to climb from the main cycl...
Category: Stock - Asset Management & Custody Banks
ISIN: US03076C1062 Curncy: USD Country: 

(MCK/US58155Q1031), listed in USA, closed the day's trading on 17th Apr at 697.08 USD with a daily change of 0.34%. The Stock's five-year performance is mostly growth. AI bought the Stock at 618.01 on 13th Nov 2024 and now gains 12.79%, the stop loss which is currently positioned at 602.32 is 13.59% away from the last closing value and corresponds to 0.51 standard deviations (26.7%). In the last 4 weeks during its upward movement, the average volume during negative days is the h...
Category: Stock - Health Care Distributors
ISIN: US58155Q1031 Curncy: USD Country: 

(III/GB00B1YW4409), listed in UK, closed the day's trading on 17th Apr at 4115 GBX with a daily change of -0.7%. The Stock's five-year performance is mostly growth. AI bought the Stock at 4110 on 16th Apr and now gains 0.12%, the stop loss which is currently positioned at 3404.2 is 17.27% away from the last closing value and corresponds to 0.61 standard deviations (28.09%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 3606 to 3739 on 10...
Category: Stock - Asset Management & Custody Banks
ISIN: GB00B1YW4409 Curncy: GBX Country: 

(BA/GB0002634946), listed in UK, closed the day's trading on 17th Apr at 1715.5 GBX with a daily change of -0.34%. The Stock's five-year performance is mostly growth. AI bought the Stock at 1651.73 on 19th Mar and now gains 3.86%, the stop loss which is currently positioned at 1349.46 is 21.34% away from the last closing value and corresponds to 0.89 standard deviations (24.11%). In the last 4 weeks during its upward movement, the average volume during positive days is the highe...
Category: Stock - Aerospace & Defense
ISIN: GB0002634946 Curncy: GBX Country: 

(PLUS/IL0011284465), listed in UK, closed the day's trading on 17th Apr at 3012 GBX with a daily change of -0.66%. 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 1640.76 on 9th Jan 2024 and now gains 83.57%, the stop profit which is currently positioned at 2412.33 is 19.91% away from the last closing value and corresponds to 0.41 standard deviations (48.45%). In the last 4 weeks during its upwar...
Category: Stock - Specialized Finance
ISIN: IL0011284465 Curncy: GBX Country: 

(PFD/GB00B7N0K053), listed in UK, closed the day's trading on 17th Apr at 195.6 GBX. The Stock's five-year performance is mostly value. AI bought the Stock at 186 on 29th Jan and now gains 5.16%, the stop loss which is currently positioned at 185.6 is 5.11% away from the last closing value. In the last 4 weeks during its upward movement, the average volume during positive days is the highest and peaked on 28th Mar with 2338143 units traded with a positive price change of 0.76%. ...
Category: Stock - Food, Beverage & Tobacco: Packaged Foods & Meats
ISIN: GB00B7N0K053 Curncy: GBX Country: 

(NXT/GB0032089863), listed in UK, closed the day's trading on 17th Apr at 12050 GBX with a daily change of 0.42%. 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 9942 on 12th Feb and now gains 21.2%, the stop profit which is currently positioned at 10028.73 is 16.77% away from the last closing value and corresponds to 0.58 standard deviations (28.68%). In the last 4 weeks during its upward moveme...
Category: Stock - Generic
ISIN: GB0032089863 Curncy: GBX Country: 

(SCMN/CH0008742519), listed in Switzerland, closed the day's trading on 17th Apr at 536 CHF with a daily change of 0.85%. The Stock's five-year performance is mostly value. AI buys the stock at the next opening value. In the last 4 weeks during its upward movement, the average volume during negative days is the highest and peaked on 7th Apr with 369135 units traded with a negative price change of -3.09%, although the number of days with a positive close was prevalent. The...
Category: Stock - Integrated Telecommunication Services
ISIN: CH0008742519 Curncy: CHF Country: 

(ARYN/CH0043238366), listed in Switzerland, closed the day's trading on 17th Apr at 1.997 CHF with a daily change of 1.01%. The Stock's five-year performance is mostly growth. On the last trading day, the Stock hit a one-year high. AI bought the Stock at 1.974 on 16th Apr and now gains 1.17%, the stop loss which is currently positioned at 1.676 is 16.08% away from the last closing value and corresponds to 0.38 standard deviations (42.48%). In the last 4 weeks during its upward m...
Category: Stock - Food, Beverage & Tobacco: Packaged Foods & Meats
ISIN: CH0043238366 Curncy: CHF Country: 

(CFT/CH0014345117), listed in Switzerland, closed the day's trading on 17th Apr at 213 CHF with a daily change of 0.95%. 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 150 on 27th Aug 2024 and now gains 42%, the stop profit which is currently positioned at 164.22 is 22.9% away from the last closing value and corresponds to 0.95 standard deviations (24.18%). In the last 4 weeks during its upward ...
Category: Stock - Investment Banking & Brokerage
ISIN: CH0014345117 Curncy: CHF Country: 

(PSPN/CH0018294154), listed in Switzerland, closed the day's trading on 17th Apr at 142 CHF with a daily change of 0.85%. The Stock's five-year performance is mostly lack, but at the moment is value. On the last trading day, the Stock hit an all-time high. AI bought the Stock at 93.497 on 4th Apr 2023 and now gains 51.88%, the stop profit which is currently positioned at 131.35 is 7.5% away from the last closing value and corresponds to 0.46 standard deviations (16.48%). In the ...
Category: Stock - Generic
ISIN: CH0018294154 Curncy: CHF Country: 

(BRKN/CH0212255803), listed in Switzerland, closed the day's trading on 17th Apr at 114.4 CHF with a daily change of -2.22%. The Stock's five-year performance is mostly growth. AI bought the Stock at 95.4 on 13th Jan and now gains 19.92%, the stop profit which is currently positioned at 98.321 is 14.06% away from the last closing value and corresponds to 0.53 standard deviations (26.65%). In the last 4 weeks during its upward movement, the average volume during positive days is ...
Category: Stock - Construction & Engineering
ISIN: CH0212255803 Curncy: CHF Country: 

(TLX/AU000000TLX2), listed in Australia, closed the day's trading on 14th Oct 2024 at 21.5 AUD with a daily change of 1.32%. 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 11.96 on 5th Feb 2024 and now gains 79.77%, the stop profit which is currently positioned at 16.125 is 25% away from the last closing value. In the last 4 weeks during its upward movement it opened a daily bullish price gap fr...
Category: Stock - Biotechnology
ISIN: AU000000TLX2 Curncy: AUD Country: 

(PME/AU000000PME8), listed in Australia, closed the day's trading on 14th Oct 2024 at 186.7 AUD with a daily change of 0.25%. 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 110.04 on 10th Apr 2024 and now gains 69.66%, the stop profit which is currently positioned at 151.24 is 18.99% away from the last closing value. The Stock is at main cycle high at 12 o'clock from 26th Sep 2024. The AI syste...
Category: Stock - Health Care Technology
ISIN: AU000000PME8 Curncy: AUD Country: 

(UWL/AU0000035388), listed in Australia, closed the day's trading on 21st Jul 2022 at 4.99 AUD with a daily change of 2.15%. The Stock's five-year performance is mostly growth. AI bought the Stock at 4.78 on 24th Mar 2022 and now gains 4.39%, the stop loss which is currently positioned at 4.429 is 11.25% 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% extension and the most recent one was a bullish pri...
Category: Stock - Alternative Carriers
ISIN: AU0000035388 Curncy: AUD Country: 

(FMG/AU000000FMG4), listed in Australia, closed the day's trading on 14th Oct 2024 at 20.02 AUD with a daily change of 2.82%. The Stock's five-year performance is mostly growth. AI bought the Stock at 17.18 on 26th Aug 2024 and now gains 16.53%, the stop loss which is currently positioned at 16.004 is 20.06% away from the last closing value and corresponds to 0.43 standard deviations (46.25%). In the last 4 weeks during its upward movement it has opened 2 daily gaps of more than...
Category: Stock - Metals & Mining: Steel
ISIN: AU000000FMG4 Curncy: AUD Country: 

(SIG/AU000000SIG5), listed in Australia, closed the day's trading on 14th Oct 2024 at 1.86 AUD with a daily change of 0.27%. The Stock's five-year performance is mostly value. AI bought the Stock at 1.9 on 10th Oct 2024 and now loses -2.11%, the stop loss which is currently positioned at 1.574 is 15.4% away from the last closing value and corresponds to 0.33 standard deviations (46.33%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 1.48...
Category: Stock - Health Care Distributors
ISIN: AU000000SIG5 Curncy: AUD Country: 

(DOL/CA25675T1075), listed in Canada, closed the day's trading on 17th Apr at 167.8 CAD with a daily change of -0.99%. The Stock's five-year performance is mostly growth. AI bought the Stock at 45.873 on 1st Jun 2020 and now gains 265.79%, the stop profit which is currently positioned at 142.23 is 15.24% away from the last closing value and corresponds to 0.66 standard deviations (23.15%). The Stock is at main cycle high at 12 o'clock from 11th Apr. The AI system, in the 3837 m...
Category: Stock - General Merchandise Stores
ISIN: CA25675T1075 Curncy: CAD Country: 

(L/CA5394811015), listed in Canada, closed the day's trading on 17th Apr at 213.68 CAD with a daily change of 0.16%. 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 120.92 on 8th Dec 2023 and now gains 76.71%, the stop profit which is currently positioned at 181.63 is 15% away from the last closing value and corresponds to 0.8 standard deviations (18.79%). In the last 4 weeks during its upward mo...
Category: Stock - Food & Staples Retailing: Food Retail
ISIN: CA5394811015 Curncy: CAD Country: 

(FFH/CA3039011026), listed in Canada, closed the day's trading on 17th Apr at 2054.63 CAD with a daily change of -0.15%. The Stock's five-year performance is mostly growth. AI bought the Stock at 1589.64 on 27th Aug 2024 and now gains 29.25%, the stop profit which is currently positioned at 1727.38 is 15.93% away from the last closing value and corresponds to 0.65 standard deviations (24.37%). In the last 4 weeks during its upward movement, the average volume during negative day...
Category: Stock - Multi-line Insurance
ISIN: CA3039011026 Curncy: CAD Country: 

(WN/CA9611485090), listed in Canada, closed the day's trading on 17th Apr at 257.27 CAD with a daily change of 0.98%. 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 147.54 on 1st Nov 2023 and now gains 74.37%, the stop profit which is currently positioned at 225.11 is 12.5% away from the last closing value and corresponds to 0.67 standard deviations (18.55%). In the last 4 weeks during its upwar...
Category: Stock - Food & Staples Retailing: Food Retail
ISIN: CA9611485090 Curncy: CAD Country: 

(LUG/CA5503711080), listed in Canada, closed the day's trading on 17th Apr at 58.12 CAD with a daily change of 2.14%. 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 14.884 on 11th Oct 2023 and now gains 290.48%, the stop profit which is currently positioned at 43.59 is 25% away from the last closing value. In the last 4 weeks during its upward movement, the average volume during positive days is...
Category: Stock - Metals & Mining: Gold
ISIN: CA5503711080 Curncy: CAD Country: 

(SPNO/DK0060036564), listed in Denmark, closed the day's trading on 16th Apr at 209.2 DKK. The Stock's five-year performance is mostly growth. AI bought the Stock at 205 on 19th Dec 2024 and now gains 2.05%, the stop loss which is currently positioned at 179.45 is 14.22% away from the last closing value and corresponds to 0.49 standard deviations (29.24%). In the last 4 weeks during its sideways movement, the average volume during positive days is the highest and peaked on 21st ...
Category: Stock - Regional Banks
ISIN: DK0060036564 Curncy: DKK Country: 

(BO/DK0010218429), listed in Denmark, closed the day's trading on 16th Apr at 13.1 DKK with a daily change of 2.83%. The Stock's five-year performance is mostly 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 12.72 to 13.14 on 7th Apr, closing it on 16th Apr. The average volume during positive days is the highest and peaked on 1st Apr with 707468 units traded with a positive price...
Category: Stock - Consumer Electronics
ISIN: DK0010218429 Curncy: DKK Country: 

(SIF/DK0010128008), listed in Denmark, closed the day's trading on 12th Mar at 48.2 DKK with a daily change of 4.33%. The Stock's five-year performance is mostly growth. AI bought the Stock at 18.4 on 20th Mar 2023 and now gains 161.96%, the stop profit which is currently positioned at 38.56 is 20% away from the last closing value. In the last 4 weeks during its upward movement, the average volume during positive days is the highest and peaked on 5th Mar with 22061 units traded ...
Category: Stock - Movies & Entertainment
ISIN: DK0010128008 Curncy: DKK Country: 

(TRYG/DK0060636678), listed in Denmark, closed the day's trading on 16th Apr at 151.5 DKK with a daily change of -0.85%. The Stock's five-year performance is mostly growth. AI bought the Stock at 147.48 on 12th Jul 2024 and now gains 2.73%, the stop loss which is currently positioned at 140.23 is 7.44% away from the last closing value and corresponds to 0.35 standard deviations (21.1%). In the last 4 weeks during its downward movement it has opened 2 daily gaps of more than 1% e...
Category: Stock - Property & Casualty Insurance
ISIN: DK0060636678 Curncy: DKK Country: 

(DJUR/DK0060136273), listed in Denmark, closed the day's trading on 16th Apr at 621.2 DKK with a daily change of -0.61%. The Stock's five-year performance is mostly growth. AI bought the Stock at 615 on 11th Apr and now gains 1.01%, the stop loss which is currently positioned at 568.26 is 8.52% away from the last closing value and corresponds to 0.36 standard deviations (23.46%). In the last 4 weeks during its downward movement it has opened 2 daily gaps of more than 1% extensio...
Category: Stock - Regional Banks
ISIN: DK0060136273 Curncy: DKK Country: 

Markets close on 17th Apr

Signals
There are also changes in the AIndexes: replacements in Anti-Pandemic - L10 / L20 / L40, S&P 500 + Nasdaq 100 - L40, S&P 500 - L20 / L40 and World ESG Leader - L40; new entries in Aerospace & Defense - L10 / L20, Agribusiness - L20 / L40, Banks - L10 / L20 / L40, Biotechnology - L10 / L40, Capital Markets - L10 / L20 / L40, Chemicals - L20 / L40, Clean Energy - L10 / L20 / L40, Clean Water - L20 / L40, Commercial Services & Supplies - L10 / L20 / L40, Containers & Packaging - L10 / L20, Deglobalization (Basic resources) - L20, Digital Infrastructure & 5G - L10 / L20, Diversified Financial Services - L10 / L20, Diversified Telecommunication Services - L10 / L20, Electrical Equipment - L10 / L20 / L40, Electronic Equipment Instruments & Components - L20 / L40, Equity Real Estate Investment Trusts (REITs) - L40, FinTech - L10 / L20 / L40, Food Products - L20 / L40, Global Dividend - L20 / L40, Global Infrastructure - L40, Health Care Equipment & Supplies - L20 / L40, Health Care Providers & Services - L20 / L40, Hotels Restaurants & Leisure - L20 / L40, Household Durables - L10 / L20, Inflation Beneficiaries - L10 / L20, Internet & Direct Marketing Retail - L10 / L20, Listed Private Equity - L40, Luxury - L20, Machinery - L10 / L40, Media - L20 / L40, Nasdaq Biotechnology - L20 / L40, Oil Gas & Consumable Fuels - L40, Personal Products - L10, Pharmaceuticals - L20 / L40, Robotics & Artificial Intelligence - L40, Semiconductors & Semiconductor Equipment - L20 / L40, Software - L20 / L40, Space Innovation - L10 / L20, Specialty Retail - L40, Stock EUR + USD Mix 50 / x 70, Stock USD + Etf Mix 60, Stock USD Growth - L10 / L40, Stock USD Mix 20 / x 25, Sustainable Food - L10 / L20, Textiles Apparel & luxury goods - L10 / L20, US Large Cap ESG - L10 / L20 / L40, Video Game & eSport - L10 / L20, Wood & Paper - L20, World ESG Leader - L10 / L20; exits in S&P 500 - L10, Trading Companies & Distributors - L10 / L20.
Ranking
The change in the top 3 stock categories on 17th Apr are Education Services (19) with 64.12%, Application Software (81) with 33.69% and Coal & Consumable Fuels (6) with 5.32%; at the bottom are Transportation - Marine (11) with -12.36%, Managed Health Care (7) with -5.16% and Metals & Mining - Silver (6) with -3.2%.
In the last week, the best performers were: Motorcycle Manufacturers (3) with 356.44%, Education Services (19) with 66.34% and Oil & Gas Exploration & Production (48) with 60.7%; the worst: Coal & Consumable Fuels (6) with -29.58%, Renewable Electricity (5) with -15.01% and Transportation - Marine (11) with -9.89%.
Over the past month, the best performers were: Motorcycle Manufacturers (3) with 161.16%, Health Care Equipment (43) with 81.41% and Electronic Components (5) with 64.95%; the worst: Household Appliances (2) with -25.08%, Oil & Gas Drilling (2) with -23.99% and Diversified Chemicals (3) with -23.99%.
For the past year, the best performers were: Food / Beverage & Tobacco - Tobacco (2) with 66.95%, Communications Equipment (24) with 58.91% and Computer & Electronics Retail (2) with 57.23%; the worst: Oil & Gas Drilling (2) with -59.35%, Diversified Chemicals (3) with -51.22% and Coal & Consumable Fuels (6) with -45.64%.
New highs and lows
One-year high (35) : HDFC Bank Limited ADR, Horizon Pharma PLC, Tencent Holdings Ltd ADR, Splunk Inc, Nielsen Holdings PLC, Chesapeake Utilities Corporation, Oak Street Health Inc, Reata Pharmaceuticals Inc, Signify Health Inc, Catalent Inc, Centennial Resource Development Inc, Apartment Income REIT Corp, New Relic Inc, Chinook Therapeutics Inc, Altra Holdings Inc, San Juan Basin Royalty Trust, Maxar Technologies Inc, Deciphera Pharmaceuticals LLC, ANI Pharmaceuticals Inc, Triumph Group Inc, ManTech International Corporation, ...
All-time low (20) : Unique Fabricating Inc, Pluristem, AIM ImmunoTech Inc, Greenlane Holdings Inc, Aspira Womens Health Inc, Gamida Cell Ltd, Adverum Biotechnologies Inc, Beam Global, Cutera Inc, Avaya Holdings Corp, Sutro Biopharma, Nu Skin Enterprises Inc, Avanos Medical Inc, Organovo Holdings Inc, SunPower Corporation, Sunnova Energy International Inc, Maravai Lifesciences Holdings Inc, Safeguard Scientifics Inc. Common Stock, Tilray Inc and Atlas Corp
One-year low (22) : Assembly Biosciences Inc, TherapeuticsMD Inc, Full House Resorts Inc, Boston Omaha Corporation, Neenah Paper Inc, Ranpak Holdings Corp, Canoo Inc, Prothena Corporation plc, Integra LifeSciences Holdings, Coty Inc, Quidel Corporation, ManpowerGroup Inc, New Residential Investment Corp, Acadia Healthcare Company Inc, Allegro Microsystems Inc, Elanco Animal Health, Plug Power Inc, Icon Plc, Riot Blockchain Inc, Chipotle Mexican Grill Inc, Hologic Inc, ...

Signals
There are also changes in the AIndexes: replacements in STOXX Europe 600 - GBP - L40 and STOXX Europe 600 - Multicurrency - L40; new entries in Construction Materials - L20, Etf USD Growth - L10 / L20 / L40, Etf USD Value - L05 / L10 / L20 / L40 and STOXX Europe 600 - Multicurrency - L20; exits in STOXX Europe 600 - GBP - L20.
Ranking
The change in the top 3 stock categories on 17th Apr are Mixed Allocation (3) with 3.49%, Biotechnology (6) with 2.95% and Retail REITs with 2.34%; at the bottom are Oil & Gas Equipment & Services (3) with -4.58%, Electronic Components with -3.1% and Transportation - Marine Ports & Services (2) with -2.91%.
In the last week, the best performers were: Metals & Mining - Steel (3) with 97.44%, Metals & Mining - Gold (8) with 14.83% and Thrifts & Mortgage Finance (2) with 11.93%; the worst: Transportation - Road & Rail - Trucking with -73.36%, Oil & Gas Equipment & Services (3) with -9.85% and Specialized Consumer Services with -3.44%.
Over the past month, the best performers were: Oil & Gas Exploration & Production (8) with 27.08%, Food & Staples Retailing - Food Retail (4) with 14.56% and Water Utilities (3) with 13.1%; the worst: Transportation - Road & Rail - Trucking with -76.51%, Metals & Mining - Steel (3) with -51.77% and Oil & Gas Equipment & Services (3) with -36.12%.
For the past year, the best performers were: Paper Packaging with 78.28%, Metals & Mining - Precious Metals & Minerals (2) with 71.99% and Food / Beverage & Tobacco - Tobacco (2) with 67.26%; the worst: Oil & Gas Equipment & Services (3) with -63.44%, Transportation - Road & Rail - Trucking with -56.96% and Electrical Components & Equipment (2) with -48.65%.
New highs and lows
One-year high (10) : National Grid PLC, Greatland Gold plc, Mitie Group PLC, HomeServe PLC, Virgin Money UK PLC, UK Commercial Property Trust, Micro Focus International PLC, Network International Holdings PLC, On The Beach Group PLC and Wickes Group PLC
All-time low (3) : iomart Group plc, S4 Capital PLC and John Wood Group PLC
One-year low (5) : CLS Holdings plc, TCS Group Holding PLC, 4Imprint Group Plc, Renishaw PLC and Man Group PLC

Signals
There are also changes in the AIndexes: new entries in Canada - L10 / L20 / L40.
Ranking
The change in the top 3 stock categories on 17th Apr are Diversified REITs (2) with 3.14%, Integrated Oil & Gas (3) with 2.71% and Food / Beverage & Tobacco - Packaged Foods & Meats (5) with 1.63%; at the bottom are Metals & Mining - Silver (12) with -2.93%, Personal Products with -2.44% and Metals & Mining - Gold (51) with -2.05%.
In the last week, the best performers were: Construction Machinery & Heavy Trucks with 13.68%, Metals & Mining - Copper (4) with 8.25% and Office REITs (2) with 7.84%; the worst: Leisure Products (2) with -7.18%, Transportation - Road & Rail - Trucking (2) with -2.4% and Forest Products (6) with -1.11%.
Over the past month, the best performers were: Pharmaceuticals (10) with 43.81%, Food & Staples Retailing - Food Retail (6) with 9.99% and General Merchandise Stores (2) with 8.72%; the worst: Metals & Mining - Copper (4) with -26.3%, Systems Software with -20.33% and Leisure Products (2) with -16.58%.
For the past year, the best performers were: Metals & Mining - Gold (51) with 64.74%, Metals & Mining - Precious Metals & Minerals (5) with 61.23% and Food & Staples Retailing - Food Retail (6) with 47.83%; the worst: Leisure Products (2) with -46.44%, Transportation - Road & Rail - Trucking (2) with -37.34% and Auto Parts & Equipment (3) with -34.78%.
New highs and lows
One-year high (7) : Turquoise Hill Resources Ltd., Osisko Mining Corp, Equinox Gold Corp, Tricon Capital Group Inc, Summit Industrial Income REIT, Home Capital Group Inc. and Karora Resources Inc
All-time low (2) : Great Panther Mining Ltd and Victoria Gold Corp
One-year low (4) : Canada Silver Cobalt Works Inc, Marathon Gold Corporation, HIVE Blockchain Technologies Ltd and BRP Inc

Signals
There are also changes in the AIndexes: new entries in Etf IW EUR Risk 1/7 - L10, Italy - L40, Italy MIB 40 - L20 and Italy PIR - Mid - L20.
Ranking
The change in the top 3 stock categories on 17th Apr are Research & Consulting Services (4) with 3.62%, Diversified Support Services (2) with 2.85% and Renewable Electricity (4) with 2.25%; at the bottom are Consumer Finance with -5.57%, Interactive Media & Services (3) with -4.61% and Real Estate Operating Companies with -2.78%.
In the last week, the best performers were: Asset Management & Custody Banks (13) with 111.09%, Housewares & Specialties with 54.72% and Diversified Support Services (2) with 9%; the worst: Interactive Media & Services (3) with -11.4%, Internet & Direct Marketing Retail with -7.38% and Consumer Electronics (2) with -5.52%.
Over the past month, the best performers were: Asset Management & Custody Banks (13) with 104.23%, Housewares & Specialties with 46.23% and Hotels / Resorts & Cruise Lines with 17.94%; the worst: Internet & Direct Marketing Retail with -30.81%, Semiconductors with -20.54% and Oil & Gas Equipment & Services (2) with -17.79%.
For the past year, the best performers were: Asset Management & Custody Banks (13) with 163.12%, Commercial Printing with 80.17% and Aerospace & Defense (4) with 76.06%; the worst: Alternative Carriers with -50.08%, Interactive Media & Services (3) with -47.05% and Textiles (4) with -39.96%.
New highs and lows
One-year high (8) : Il Sole 24 Ore SpA, Telecom Italia S.p.A, Ascopiave S.p.A., Beghelli, Net Insurance S.p.A, Bialetti Industrie, Shedir Pharma Group and Gel S.p.A
All-time low (8) : Softec, ILLA SpA, ePRICE S.p.A., SosTravel.com S.P.A, Lventure Group, Gequity SpA, Portobello S.p.A and KI Group
One-year low (5) : Neurosoft Software Production, Class Editori S.p.A., Conafi S.p.A, Exprivia and Amplifon S.p.A

Signals
There are also changes in the AIndexes: new entries in Etf EUR Growth - L10 / L40, Etf EUR Value - L20 / L40, Etf Global Low Risk - L10 / L20, Etf Global Medium Risk - L20 / L40, Germany - L10 / L20 / L40, Real Estate Management & Development - L20 / L40, Stock EUR + USD Mix 60, Stock EUR Growth - L20 / L40, Stock EUR Lack - L05 / L10 / L20 / L40, Stock EUR Mix 25 / x 40 / x 60, Stock EUR Value - L20 / L40.
Ranking
The change in the top 3 stock categories on 17th Apr are Heavy Electrical Equipment (5) with 3.83%, Casinos & Gaming (2) with 2.94% and Life Sciences Tools & Services (4) with 1.54%; at the bottom are Auto Parts & Equipment (8) with -4.19%, Health Care Services (2) with -3.42% and Electrical Components & Equipment (3) with -3.05%.
In the last week, the best performers were: Semiconductor Equipment (7) with 11.94%, Heavy Electrical Equipment (5) with 10.03% and Real Estate Operating Companies (7) with 9.49%; the worst: Home Furnishings with -5.92%, Electrical Components & Equipment (3) with -5.63% and Biotechnology (3) with -0.57%.
Over the past month, the best performers were: Other Diversified Financial Services (2) with 10.31%, Real Estate Operating Companies (7) with 5.27% and Reinsurance (2) with 2.94%; the worst: Semiconductor Equipment (7) with -25.21%, Semiconductors (2) with -23.68% and Home Furnishings with -22.17%.
For the past year, the best performers were: Aerospace & Defense (4) with 91.29%, Heavy Electrical Equipment (5) with 83.63% and Systems Software with 70.68%; the worst: Electrical Components & Equipment (3) with -71.84%, Semiconductor Equipment (7) with -45.31% and Life Sciences Tools & Services (4) with -37.37%.
New highs and lows
One-year high (6) : Deutsche Post AG, Hornbach Holding VZO O.N., Lyxor MSCI Eastern Europe ex Russia, Datagroup Se, ADLER Real Estate AG and home24 SE
All-time low : Leoni Ag
One-year low (3) : Einhell Germany AG, Plug Power Inc and Gerresheimer AG

Signals
There are also changes in the AIndexes: new entries in STOXX Europe 600 - CHF - L20, Switzerland - L20 / L40.
Ranking
The change in the top 3 stock categories on 17th Apr are Technology Distributors (2) with 2.2%, Diversified Real Estate Activities (4) with 1.78% and Investment Banking & Brokerage (4) with 1.55%; at the bottom are Electrical Components & Equipment (7) with -3.12%, Specialty Stores with -1.87% and Electronic Components with -1.42%.
In the last week, the best performers were: Technology Distributors (2) with 8.73%, Construction & Engineering (3) with 5.39% and Building Products (6) with 5.11%; the worst: Electronic Equipment & Instruments (6) with -14.15%, Specialty Stores with -5.7% and Industrial Machinery (23) with -5.47%.
Over the past month, the best performers were: Construction & Engineering (3) with 5.24%, Investment Banking & Brokerage (4) with 3.77% and Advertising (2) with 2.48%; the worst: Electronic Equipment & Instruments (6) with -33%, Semiconductors (3) with -27.17% and Industrial Machinery (23) with -18.66%.
For the past year, the best performers were: Multi-line Insurance (5) with 35.28%, Construction & Engineering (3) with 25.05% and Investment Banking & Brokerage (4) with 23.62%; the worst: Diversified Capital Markets with -49.89%, Electronic Equipment & Instruments (6) with -43.64% and Technology Distributors (2) with -31.49%.
New highs and lows
One-year high (9) : Aryzta AG, Allreal Holding, Banque Cantonale, Clariant AG, Implenia AG, HIAG Immobilien Holding AG, St Galler Kantonalbank AG, Apg Sga Sa and Orell Fuessli Holding AG
All-time low (5) : Adval Tech Holding AG, ObsEva SA, Blackstone Resources AG, Feintool International Holding and Peach Property Group AG
One-year low (5) : Perfect Holding SA, Banque Cantonale de Geneve, PIERER Mobility AG, Bobst Group SA and Dufry AG

Signals
There are also changes in the AIndexes: new entries in France - L10 / L20 / L40, STOXX Europe 50 - EUR - L10 / L20, STOXX Europe 600 - EUR - L20 / L40.
Ranking
The change in the top 3 stock categories on 17th Apr are Technology Hardware / Storage & Peripherals (3) with 1.63%, Interactive Home Entertainment with 1.5% and Movies & Entertainment (3) with 1.45%; at the bottom are Health Care Facilities with -6%, Health Care Equipment (2) with -2.82% and Semiconductors (3) with -2.7%.
In the last week, the best performers were: Life Sciences Tools & Services (2) with 12.38%, Oil & Gas Equipment & Services (4) with 8.76% and Construction & Engineering (3) with 7.7%; the worst: Cable & Satellite with -13.42%, Health Care Facilities with -9.76% and Food & Staples Retailing - Food Retail with -3.55%.
Over the past month, the best performers were: Cable & Satellite with 183.54%, Food & Staples Retailing - Food Retail with 14% and Transportation - Road & Rail - Trucking with 8%; the worst: Interactive Home Entertainment with -23.03%, Movies & Entertainment (3) with -22.75% and Restaurants (2) with -18.19%.
For the past year, the best performers were: Research & Consulting Services with 40.58%, Building Products (2) with 40.42% and Oil & Gas Exploration & Production with 39.15%; the worst: Food & Staples Retailing - Food Retail with -98.07%, Interactive Home Entertainment with -63.45% and Health Care Facilities with -59.06%.
New highs and lows
One-year high (3) : Esker SA, Vilmorin & Cie SA and AKKA Technologies SE
One-year low (3) : Orpea SA, Christian Dior SE and Ipsen SA

Signals
There are also changes in the AIndexes: new entries in STOXX Europe 600 - Nordic - L10 / L20 / L40.
Ranking
The change in the top 3 stock categories on 17th Apr are Oil & Gas Exploration & Production with 5%, Health Care Supplies (3) with 1.98% and Automotive Retail with 0.39%; at the bottom are IT Consulting & Other Services (3) with -2.32%, Electrical Components & Equipment with -2.21% and Diversified Support Services (3) with -1.95%.
In the last week, the best performers were: Oil & Gas Exploration & Production with 17.21%, Internet & Direct Marketing Retail (3) with 10.62% and Homebuilding (2) with 9.5%; the worst: Electronic Equipment & Instruments (5) with 0.61%, Paper Products (3) with 0.82% and Industrial Machinery (10) with 1.08%.
Over the past month, the best performers were: Oil & Gas Exploration & Production with 64.99%, Wireless Telecommunication Services with 4.45% and Homebuilding (2) with 3.83%; the worst: Health Care Supplies (3) with -25.89%, Leisure Products (2) with -20.65% and Paper Products (3) with -17.34%.
For the past year, the best performers were: Wireless Telecommunication Services with 71.56%, Aerospace & Defense (3) with 69.26% and Health Care Technology (2) with 68.37%; the worst: Oil & Gas Exploration & Production with -63.51%, Paper Products (3) with -28.75% and Health Care Equipment (5) with -28.47%.
New highs and lows
All-time low : SAS AB

Signals
There are also changes in the AIndexes: new entries in Spain - L10 / L20 / L40.
Ranking
The change in the top 3 stock categories on 17th Apr are Real Estate Development (4) with 2.78%, Security & Alarm Services (2) with 1.91% and Integrated Telecommunication Services (3) with 1.48%; at the bottom are Broadcasting with -2.19%, Real Estate Operating Companies (2) with -1.61% and Investment Banking & Brokerage (2) with -1.61%.
In the last week, the best performers were: Integrated Telecommunication Services (3) with 9.98%, Security & Alarm Services (2) with 7.88% and Construction Machinery & Heavy Trucks (2) with 6.63%; the worst: Investment Banking & Brokerage (2) with -2.95%, Broadcasting with -2.16% and Biotechnology (3) with 1.22%.
Over the past month, the best performers were: Communications Equipment with 37.58%, Multi-line Insurance (2) with 9.14% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 7.12%; the worst: Publishing (2) with -21.71%, Biotechnology (3) with -17.83% and Metals & Mining - Steel (4) with -17.21%.
For the past year, the best performers were: Biotechnology (3) with 63.1%, Diversified Banks (6) with 49.13% and Security & Alarm Services (2) with 43.57%; the worst: Auto Parts & Equipment (2) with -11.43%, Metals & Mining - Steel (4) with -2.48% and Pharmaceuticals (4) with -2.37%.
New highs and lows
One-year high (4) : Atresmedia Corporacion de Medios de Comunicacion S.A., Nueva Expresion Textil S.A., Prosegur Cash S.A and Inmobiliaria del Sur SA
All-time low (3) : Codere S.A, Soltec Power Holdings S.A and Urbas Grupo Financiero SA

Ranking
The change in the top 3 stock categories on 17th Apr are Transportation - Air Freight & Logistics (2) with 3.5%, Retail REITs (4) with 0.66% and Research & Consulting Services (4) with 0.42%; at the bottom are Human Resource & Employment Services (2) with -2.23%, Heavy Electrical Equipment (2) with -2.23% and Semiconductor Equipment (3) with -0.95%.
In the last week, the best performers were: Food / Beverage & Tobacco - Brewers (2) with 8.14%, Transportation - Air Freight & Logistics (2) with 7.63% and Semiconductor Equipment (3) with 5.52%; the worst: Construction & Engineering (3) with -2.88%, Human Resource & Employment Services (2) with -0.89% and Specialty Chemicals (4) with 1.23%.
Over the past month, the best performers were: Retail REITs (4) with 7.57%, Integrated Oil & Gas with 2.58% and Food / Beverage & Tobacco - Brewers (2) with 0.5%; the worst: Metals & Mining - Steel (2) with -20.9%, Human Resource & Employment Services (2) with -18.78% and Semiconductor Equipment (3) with -14.7%.
For the past year, the best performers were: Diversified Banks (2) with 19.65%, Integrated Oil & Gas with 18.55% and Life & Health Insurance (2) with 15.07%; the worst: Heavy Electrical Equipment (2) with -47.12%, Semiconductor Equipment (3) with -35.11% and Biotechnology (2) with -27.2%.
New highs and lows
One-year high : Wereldhave NV
One-year low : Arcadis N.V.

Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 17th Apr are Systems Software (3) with 1.61%, Food / Beverage & Tobacco - Packaged Foods & Meats (3) with 1.37% and Publishing with 0.9%; at the bottom are Application Software (4) with -0.93%, Industrial Machinery (6) with -0.81% and Construction Machinery & Heavy Trucks with -0.11%.
In the last week, the best performers were: Systems Software (3) with 5.8%, Construction & Engineering with 5.67% and Regional Banks (2) with 3.82%; the worst: Construction Machinery & Heavy Trucks with -0.86%, Application Software (4) with -0.1% and Paper Products (3) with 1.07%.
Over the past month, the best performers were: Construction & Engineering with 29.87%, Food / Beverage & Tobacco - Packaged Foods & Meats (3) with 3.5% and Publishing with 0.75%; the worst: Paper Products (3) with -17.93%, Industrial Machinery (6) with -16.19% and Construction Machinery & Heavy Trucks with -11.27%.
For the past year, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (3) with 22.46%, Systems Software (3) with 14.11% and Publishing with 8.33%; the worst: Paper Products (3) with -36.43%, Regional Banks (2) with -22.18% and Construction & Engineering with -20.53%.
New highs
One-year high : Basware Oyj

Ranking
The change in the top 3 stock categories on 17th Apr are Biotechnology (3) with 10.04%, Residential REITs with 1.28% and Industrial REITs with 1.11%; at the bottom are Pharmaceuticals with -1.59%, Diversified Banks (2) with -1.28% and Diversified Chemicals (2) with -0.56%.
In the last week, the best performers were: Biotechnology (3) with 26%, Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 10.25% and Residential REITs with 10.17%; the worst: Pharmaceuticals with 0.04%, Health Care Equipment with 1.73% and Diversified Banks (2) with 3.47%.
Over the past month, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 9.93%, Residential REITs with 9.54% and Construction & Engineering with 5.71%; the worst: Pharmaceuticals with -24.14%, Health Care Equipment with -19.32% and Diversified Banks (2) with -7.4%.
For the past year, the best performers were: Biotechnology (3) with 29.05%, Diversified Banks (2) with 27.31% and Construction & Engineering with 25.93%; the worst: Health Care Equipment with -41.95%, Real Estate Operating Companies (2) with -17.66% and Pharmaceuticals with -10.34%.
New highs

Ranking
The change in the top 3 stock categories on 17th Apr are Multi-line Insurance (2) with 1.79%, Industrial Machinery (2) with 1.02% and Electric Utilities (2) with 0.97%; at the bottom are Construction & Engineering (2) with -3.19%, Diversified Banks (3) with -0.74% and Real Estate Operating Companies (3) with 0.18%.
In the last week, the best performers were: Construction & Engineering (2) with 9.68%, Real Estate Operating Companies (3) with 7.49% and Electric Utilities (2) with 7.13%; the worst: Diversified Banks (3) with 4.7% and Industrial Machinery (2) with 6.03%.
Over the past month, the best performers were: Real Estate Operating Companies (3) with 6.97%, Construction & Engineering (2) with 2.25% and Multi-line Insurance (2) with 1.44%; the worst: Diversified Banks (3) with -11.96% and Industrial Machinery (2) with -7.94%.
For the past year, the best performers were: Construction & Engineering (2) with 88.02%, Diversified Banks (3) with 43.29% and Multi-line Insurance (2) with 30.49%; the worst: Electric Utilities (2) with -6.29%.

Ranking
The change in the top 2 stock categories on 17th Apr are Food & Staples Retailing - Food Retail (2) with 0.12%; at the bottom are Paper Products (3) with 0.03% and Food & Staples Retailing - Food Retail (2) with 0.12%.
In the last week, the best performers were: Food & Staples Retailing - Food Retail (2) with 4.18%; the worst: Paper Products (3) with 2.59% and Food & Staples Retailing - Food Retail (2) with 4.18%.
Over the past month, the best performers were: Food & Staples Retailing - Food Retail (2) with 4.78% and Paper Products (3) with 0.79%
For the past year, the best performers were: Food & Staples Retailing - Food Retail (2) with 16.3%; the worst: Paper Products (3) with 4.24%.

Ranking
The change in the top 2 stock categories on 17th Apr are Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.44%; at the bottom are Diversified Banks (3) with -2.46%.
In the last week, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 5.07%; the worst: Diversified Banks (3) with 3.04%.
Over the past month, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with -1.49%; the worst: Diversified Banks (3) with -14.03%.
For the past year, the best performers were: Diversified Banks (3) with 14.71%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with -8.8% and Diversified Banks (3) with 14.71%.
New highs
We note that Irish Residential Properties has made a new One-year high.

Ranking
The 3465 Stock analysed are 29.35% long and ended the trading day with a weighted daily change of 0.38% and a weekly change of 3.5%.
There are 70 new buys (AB SKF publ, Also Holding AG, Altus Group Limited, Ameriprise Financial Inc, Aritzia Inc, Ascendis Pharma AS, Atlantic Union Bankshares Corp, Atresmedia Corporacion de Medios de Comunicacion S.A., Atrium Ljungberg AB publ, Avio S.p.A, Bain Capital Specialty Finance Inc, Bank Ozk, Bank of Nova Scotia, Brookfield Business Partners L.P., Brunello Cucinelli S.p.A., Burford Capital Limited, Camurus AB, Choice Properties Real Estate Investment Trust, Citigroup Inc, Corporacion America Airports, Crane Company, Cummins Inc, Danone SA, DocuSign Inc, EFG International AG, Elmos Semiconductor SE, Eni S.p.A., Fluidra, Freehold Royalties Ltd., Fuchs Petrolub SE Preference Shares, Glenveagh Properties PLC, Global Fashion Group SA, HDFC Bank Limited ADR, Henry Schein Inc, Hess Corporation, Incyte Corporation, Industrivarden AB ser. C, Infineon Technologies AG ADR, Keysight Technologies Inc, La Francaise Des Jeux Sa, Land Securities Group PLC, Lassila &Tikanoja Oyj, Lazard Ltd, Magnolia Oil & Gas Corp, Masimo Corporation, Metrovacesa SA, Monroe Capital Corp, Nueva Expresion Textil S.A., Onex Corp, Orange S.A., PPG Industries Inc, Packaging Corp of America, Prysmian SpA, RATIONAL Aktiengesellschaft, Rathbone Brothers PLC, Raymond James Financial Inc., Rotork PLC, Schneider Electric S.E., Senior PLC, Siemens Energy AG, Swisscom AG, Theravance Biopharma Inc, Towne Bank, Tractor Supply Company, Travere Therapeutics Inc, Unilever PLC, Union Pacific Corporation, Vicat S.A., Voya Financial Inc and Xylem Inc) and 3 new sell (Bunzl PLC, Snap-On Inc and UnitedHealth Group Incorporated). With the new changes, long positions will increase by 1.93%.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 26.58% of the total and a change of 4.29%, followed by the "Growth" group accounting for 28.2% and a change of 3.3% and the "Lack" group accounting for 45.22% and a change of 3.1%.
The change in the top 3 Stock categories on 17th Apr are Education Services (38) with 29.24%, Application Software (160) with 17.56% and Asset Management & Custody Banks (136) with 8.55%; at the bottom are Managed Health Care (7) with -5.16%, Transportation - Marine (33) with -3.6% and Metals & Mining - Silver (18) with -3.04%.
In the last week, the best performers were: Motorcycle Manufacturers (8) with 109.83%, Oil & Gas Exploration & Production (84) with 36.3% and Education Services (38) with 30.85%; the worst: Transportation - Road & Rail - Trucking (27) with -8.66%, Managed Health Care (7) with -5.94% and Coal & Consumable Fuels (19) with -4.53%.
Over the past month, the best performers were: Home Furnishings (14) with 4201.86%, Motorcycle Manufacturers (8) with 43.79% and Health Care Equipment (88) with 36.5%; the worst: Semiconductors (65) with -18.76%, Semiconductor Equipment (49) with -16.37% and Equity Emerging Markets Dividend with -16.1%.
For the past year, the best performers were: Food & Staples Retailing - Hypermarkets & Super Centers (11) with 7714.4%, Home Furnishings (14) with 4143.88% and Interactive Media & Services (38) with 423.47%; the worst: Food & Staples Retailing - Drug Retail with -31.63%, Life Sciences Tools & Services (65) with -26.49% and Department Stores (10) with -23.72%.
New highs and lows
All-time high (78) : Loblaw Companies Limited, Telix Pharmaceuticals Ltd, Munchener Ruck AG, George Weston Limited, Lundin Gold Inc, Hydro One Ltd, Pro Medicus Ltd, Philip Morris International Inc, Plus500 Ltd, Artemis Gold Inc, Siemens Energy AG, Koninklijke KPN NV, Cia de Distribucion Integral, E.on Se, Next PLC, Orange S.A., AltaGas Ltd, Intracellular Th, Poste Italiane SpA, Imperial Brands PLC, Cembre S.p.A., Metrovacesa SA, Compagnie Financiere Tradition, Technology One Ltd, Coca Cola HBC AG, Orkla ASA, Seagen Inc, Rea Group Ltd, PSP Swiss Property AG, Bouygues SA, Eiffage SA, ...
One-year high (112) : Aryzta AG, HDFC Bank Limited ADR, National Grid PLC, Horizon Pharma PLC, Atresmedia Corporacion de Medios de Comunicacion S.A., Aedifica, Tencent Holdings Ltd ADR, Deutsche Post AG, Nueva Expresion Textil S.A., AAC Technologies Holdings Inc, Cathay Pacific Airways Limited, Hornbach Holding VZO O.N., OZ Minerals Ltd, Il Sole 24 Ore SpA, Appen Ltd, Allreal Holding, Novozymes A/S, Sydney Airport Limited, Crown Ltd, Greatland Gold plc, Mitie Group PLC, HomeServe PLC, Splunk Inc, Telecom Italia S.p.A, Wereldhave NV, Turquoise Hill Resources Ltd., Nuix Ltd, Temple & Webster Group Ltd, Nielsen Holdings PLC, Chesapeake Utilities Corporation, Banque Cantonale, ...
All-time low (48) : Roto-Gro International Limited, Softec, Unique Fabricating Inc, Pluristem, Chaoda Modern Agriculture Holdings Ltd, Adval Tech Holding AG, ILLA SpA, ObsEva SA, Great Panther Mining Ltd, iomart Group plc, AIM ImmunoTech Inc, Greenlane Holdings Inc, SAS AB, Blackstone Resources AG, Aspira Womens Health Inc, ePRICE S.p.A., SosTravel.com S.P.A, Lventure Group, Gamida Cell Ltd, Gequity SpA, Portobello S.p.A, KI Group, Feintool International Holding, Leoni Ag, Adverum Biotechnologies Inc, Beam Global, Cutera Inc, SAS AB, Shinsun Holdings Group Co Ltd, Avaya Holdings Corp, Sutro Biopharma, ...
One-year low (65) : Neurosoft Software Production, Canada Silver Cobalt Works Inc, Class Editori S.p.A., Assembly Biosciences Inc, Perfect Holding SA, Thomson Medical Group Limited, Conafi S.p.A, TherapeuticsMD Inc, Hong Kong Television Network Ltd, Full House Resorts Inc, Boston Omaha Corporation, Lotte Shopping, Exprivia, Neenah Paper Inc, Citychamp Watch & Jewellery Group Ltd, Marathon Gold Corporation, Hutchison Telecommunications Hong Kong Holdings Ltd, China Foods Ltd, Ranpak Holdings Corp, Lotte Energy Materials Corporation, CLS Holdings plc, Banque Cantonale de Geneve, Canoo Inc, HIVE Blockchain Technologies Ltd, Einhell Germany AG, Prothena Corporation plc, Plug Power Inc, Integra LifeSciences Holdings, Raffles Medical Group Ltd, PIERER Mobility AG, Cdl Hospitality Trusts, ...
Signals
Ranking
The change in the top 3 Stock categories on 17th Apr are Education Services (38) with 29.24%, Application Software (160) with 17.56% and Asset Management & Custody Banks (136) with 8.55%; at the bottom are Managed Health Care (7) with -5.16%, Transportation - Marine (33) with -3.6% and Metals & Mining - Silver (18) with -3.04%.
In the last week, the best performers were: Motorcycle Manufacturers (8) with 109.83%, Oil & Gas Exploration & Production (84) with 36.3% and Education Services (38) with 30.85%; the worst: Transportation - Road & Rail - Trucking (27) with -8.66%, Managed Health Care (7) with -5.94% and Coal & Consumable Fuels (19) with -4.53%.
Over the past month, the best performers were: Home Furnishings (14) with 4201.86%, Motorcycle Manufacturers (8) with 43.79% and Health Care Equipment (88) with 36.5%; the worst: Semiconductors (65) with -18.76%, Semiconductor Equipment (49) with -16.37% and Equity Emerging Markets Dividend with -16.1%.
For the past year, the best performers were: Food & Staples Retailing - Hypermarkets & Super Centers (11) with 7714.4%, Home Furnishings (14) with 4143.88% and Interactive Media & Services (38) with 423.47%; the worst: Food & Staples Retailing - Drug Retail with -31.63%, Life Sciences Tools & Services (65) with -26.49% and Department Stores (10) with -23.72%.
New highs and lows
One-year high (112) : Aryzta AG, HDFC Bank Limited ADR, National Grid PLC, Horizon Pharma PLC, Atresmedia Corporacion de Medios de Comunicacion S.A., Aedifica, Tencent Holdings Ltd ADR, Deutsche Post AG, Nueva Expresion Textil S.A., AAC Technologies Holdings Inc, Cathay Pacific Airways Limited, Hornbach Holding VZO O.N., OZ Minerals Ltd, Il Sole 24 Ore SpA, Appen Ltd, Allreal Holding, Novozymes A/S, Sydney Airport Limited, Crown Ltd, Greatland Gold plc, Mitie Group PLC, HomeServe PLC, Splunk Inc, Telecom Italia S.p.A, Wereldhave NV, Turquoise Hill Resources Ltd., Nuix Ltd, Temple & Webster Group Ltd, Nielsen Holdings PLC, Chesapeake Utilities Corporation, Banque Cantonale, ...
All-time low (48) : Roto-Gro International Limited, Softec, Unique Fabricating Inc, Pluristem, Chaoda Modern Agriculture Holdings Ltd, Adval Tech Holding AG, ILLA SpA, ObsEva SA, Great Panther Mining Ltd, iomart Group plc, AIM ImmunoTech Inc, Greenlane Holdings Inc, SAS AB, Blackstone Resources AG, Aspira Womens Health Inc, ePRICE S.p.A., SosTravel.com S.P.A, Lventure Group, Gamida Cell Ltd, Gequity SpA, Portobello S.p.A, KI Group, Feintool International Holding, Leoni Ag, Adverum Biotechnologies Inc, Beam Global, Cutera Inc, SAS AB, Shinsun Holdings Group Co Ltd, Avaya Holdings Corp, Sutro Biopharma, ...
One-year low (65) : Neurosoft Software Production, Canada Silver Cobalt Works Inc, Class Editori S.p.A., Assembly Biosciences Inc, Perfect Holding SA, Thomson Medical Group Limited, Conafi S.p.A, TherapeuticsMD Inc, Hong Kong Television Network Ltd, Full House Resorts Inc, Boston Omaha Corporation, Lotte Shopping, Exprivia, Neenah Paper Inc, Citychamp Watch & Jewellery Group Ltd, Marathon Gold Corporation, Hutchison Telecommunications Hong Kong Holdings Ltd, China Foods Ltd, Ranpak Holdings Corp, Lotte Energy Materials Corporation, CLS Holdings plc, Banque Cantonale de Geneve, Canoo Inc, HIVE Blockchain Technologies Ltd, Einhell Germany AG, Prothena Corporation plc, Plug Power Inc, Integra LifeSciences Holdings, Raffles Medical Group Ltd, PIERER Mobility AG, Cdl Hospitality Trusts, ...
The 2087 Etf analysed are 42.5% long and ended the trading day with a weighted daily change of -0.24% and a weekly change of 1.92%.
There are 96 new buys (AI Powered Equity, ARK Next Generation Internet, Amundi Index Solutions - Amundi Index J.P. Morgan GBI Global Govies, Amundi MSCI EM Asia, Amundi MSCI Europe Growth, Amundi MSCI Europe High Dividend Factor, Amundi MSCI World ESG Climate Net Zero Ambition CTB UCITS ETF Acc EUR, Amundi MSCI World Ex Europe, Amundi Russell 2000, Amundi S&P Global Luxury, Amundi Smart City, BNP Paribas Easy ECPI Circular Economy Leaders, BNP Paribas Easy MSCI Europe Small Caps SRI S Series 5% Capped Capitalisation, BNP Paribas Easy MSCI USA SRI S Series 5% Capped, First Trust US Large Core AlphaDEX, Invesco Consumer Discretionary S&P US Select Sector, Invesco Consumer Discretionary S&P US Select Sector, Invesco Energy S&P US Select Sector, Invesco FTSE Emerging Markets High Dividend Low Volatility, Invesco FTSE RAFI US 1000, Invesco JPX Nikkei 400 USD Hdg, Invesco MSCI Europe, Invesco MSCI Japan, Invesco Morningstar US Energy Infrastructure MLP, Invesco Real Estate S&P US Select Sector, JPM Global Equity Multi Factor, Lyxor Core Morningstar UK NT, Lyxor Dow Jones Industrial Average, Lyxor MSCI AC Asia Ex Japan, Lyxor MSCI AC Asia Pacific Ex Japan, Lyxor UCITS MSCI Asia Ex Japan C-EUR, Ossiam iSTOXX Europe Minimum Variance NR, PIMCO Emerging Markets Advantage Local Bond, SPDR Bloomberg Barclays Emerging Markets Local Bond, SPDR Dow Jones Global Real Estate, SPDR MSCI EM Asia, SPDR MSCI Europe Value, SPDR MSCI World Consumer Staples, SPDR MSCI World Energy, SPDR Morningstar Multi Asset Global Infrastructure, SPDR S&P 500 Low Volatility, SPDR S&P 600 Small Growth, SPDR S&P Kensho New Economies Composite, SPDR S&P UK Dividend Aristocrats, UBS Irl plc Factor MSCI USA Low Volatility, UBS Irl plc MSCI ACWI Socially Responsible Hedged, UBS Irl plc MSCI ACWI Socially Responsible Hedged, UBS MSCI Japan Socially Responsible Hedged, UBS MSCI World Socially Responsible, VanEck Vectors Vietnam, Vanguard FTSE 100, Vanguard FTSE All World, WisdomTree Global Quality Dividend Growth, WisdomTree Physical Precious Metals, WisdomTree US Equity Income, Xtrackers FTSE 250, Xtrackers MSCI AC Asia ex Japan Swap, Xtrackers MSCI EM Asia Swap, Xtrackers MSCI Emerging Markets Swap, Xtrackers MSCI Pacific ex Japan, Xtrackers MSCI Singapore, Xtrackers MSCI Taiwan, Xtrackers MSCI USA Energy, Xtrackers MSCI USA Minimum Volatility, Xtrackers MSCI World ESG, Xtrackers S&P 500 Equal Weight, Xtrackers Stoxx Europe 600 Utilities Swap, Xtrackers Stoxx Global Select Dividend 100 Swap, iShares Asia Pacific Dividend, iShares Asia Property Yield, iShares BRIC 50, iShares Core FTSE 100 Hedged, iShares Core MSCI Japan IMI, iShares Edge MSCI USA Momentum Factor, iShares Edge MSCI USA Value Factor, iShares Euro Total Market Growth Large, iShares Global Water, iShares Global Water, iShares MSCI Japan Hedged, iShares MSCI Pacific ex Japan, iShares MSCI Spain, iShares MSCI World ESG Screened, iShares MSCI World Quality Dividend, iShares MSCI World Quality Dividend, iShares Russell 2000, iShares S&P 500 Consumer Discretionary Sector, iShares S&P 500 Hedged, iShares S&P 500 Materials Sector, iShares S&P 500 Utilities Sector, iShares S&P SmallCap 600, iShares UK Dividend, iShares Usd Corp Bond, iShares Usd Floating Rate Bond Hedged, iShares Usd TIPS, iShares Usd TIPS Hedged and iShares VII PLC iShares Eur Govt Bond 7-10yr). With the new changes, long positions will increase by 4.6%.
Etfs ranked by performance class had the best weekly returns with the "Value" group accounting for 43.7% of the total and a change of 2.17%, followed by the "Growth" group accounting for 41.4% and a change of 1.87% and the "Lack" group accounting for 14.9% and a change of 1.27%.
The change in the top 3 Etf categories on 17th Apr are Fixed Income Corporate High Yield (52) with 163.5%, Equity India (16) with 2.06% and Equity Mexico (8) with 1.95%; at the bottom are Equity Russia with -3.64%, Short-Commodity Energy (4) with -2.5% and Equity Pakistan (2) with -2.05%.
In the last week, the best performers were: Fixed Income Corporate High Yield (52) with 164.11%, Equity Austria (2) with 6.14% and Equity UK Dividend (4) with 6.12%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -20.92% and Equity Eastern Europe with -15.7%.
Over the past month, the best performers were: Fixed Income Corporate High Yield (52) with 162.05%, Specialty VIX (2) with 29.21% and Short-Equity Eurozone (14) with 6.45%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -22.04% and Equity Thematic Electric Vehicles (8) with -14.82%.
For the past year, the best performers were: Equity China (35) with 546.73%, Fixed Income Corporate High Yield (52) with 175.1% and Equity Eurozone (152) with 137.05%; the worst: Equity Russia with -77.41%, Equity Thematic Cannabis with -41.89% and Equity Indonesia (7) with -25.65%.
New highs and lows
All-time high (46) : ZKB Gold, WisdomTree Physical Gold Daily Hedged, db Physical Gold Euro Hedged ETC, ZKB Gold, Gold Bullion Securities ETC, iShares Physical Gold ETC, WisdomTree Physical Gold, WisdomTree Physical Gold, iShares Physical Metals plc iShares Physical Gold ETC, iShares MSCI Spain, Xtrackers Physical Gold ETC, iShares VII PLC - iShares Core EURO STOXX 50 ETF EUR Acc, iShares Eur Govt Bond 1-3yr, Amundi MSCI Nordic, Lyxor Euro Overnight Return, Lyxor Russell 1000 Growth, Xtrackers Euro Stoxx 50, Xtrackers II Overnight Rate Swap, iShares Eur Corp Bond 1-5yr, iShares Eur Corp Bond 1-5yr, WisdomTree Physical Gold Daily Hedged, SPDR Bloomberg Barclays 1-3 Year Euro Government Bond, Xtrackers MSCI World Consumer Staples, JPM Ultra Short Income, Amundi Floating Rate EURO Corporate 1-3, iShares Global High Yield Corp Bond, WisdomTree Gold, Xtrackers II - iBoxx Eurozone Government Bond Yield Plus 1-3 UCITS ETF, WisdomTree Gold, Amundi Index Euro Corporate Sri 0 3 Y, Amundi Index Barclays Euro Corp BBB 1-5, ...
One-year high (35) : Vanguard FTSE Developed Europe ex UK Distributing, Xtrackers II Overnight Rate Swap, iShares Eur Govt Bond 0-1yr, iShares Eur Govt Bond 3-5yr, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Amundi Euro Government Bond 3-5Y UCITS ETF Acc EUR, BNP Paribas Easy Eur Corp Bond SRI Fossil Free 3-5Y, Lyxor PEA Obligations d Etat Euro, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Lyxor EuroMTS 1-3Y Italy BTP Government Bond, Multi Units Luxembourg - Lyxor EuroMTS 5-7Y Investment Grade (DR) UCITS ETF, HSBC MSCI Turkey, MULTI UNITS LUXEMBOURG Lyxor Euro Government Bond 1-3Y, iShares Core Eur Corp Bond Hedged, Lyxor EuroMTS Highest Rated Macro Weighted Govt Bond 1-3Y, Lyxor Usd Floating Rate Note Hedged, Amundi Govt Bond EuroMTS Broad Investment Grade 3-5, Xtrackers II - EUR Corporate Bond UCITS ETF, iShares eb.rexx Money Market, ComStage Bund Future Short, Lyxor EuroMTS Highest Rated Macro Weighted Govt Bond 3-5Y, VanEck Vectors iBoxx Sovereign Capped AAA AA 1-5, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 3-5 UCITS ETF DR, HSBC MSCI Turkey, Amundi Govt Bond Lowest Rated Euromts Investment Grade 1-3, Lyxor EuroMTS Highest Rated Macro Weighted Govt Bond 1-3Y, Multi Units France Lyxor MSCI USA, iShares Eur High Yield Corp Bond, UBS FTSE 100, Lyxor Euromts Covered Bond Aggregate, Amundi Govt Bond EuroMTS Broad Investment Grade 1-3, ...
All-time low (15) : HSBC MSCI EM Latin America, iShares MSCI Eastern Europe Capped, Lyxor MSCI Russia, WisdomTree Gold 1x Daily Short, Invesco RDX, iShares Public Limited Company iShares MSCI Eastern Europe Capped, Xtrackers MSCI Russia Capped Swap, Tabula iTraxx IG Bond Index Distributing, HSBC MSCI Russia Capped, Xtrackers MSCI Russia Capped Swap, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, Lyxor MSCI Russia and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (8) : WisdomTree Zinc, Invesco RDX, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Lyxor MSCI AC Asia Pacific Ex Japan, Xtrackers MSCI USA Health Care, Xtrackers MSCI USA Health Care, Invesco Health Care S&P US Select Sector and iShares S&P 500 Health Care Sector
Signals
Ranking
The change in the top 3 Etf categories on 17th Apr are Fixed Income Corporate High Yield (52) with 163.5%, Equity India (16) with 2.06% and Equity Mexico (8) with 1.95%; at the bottom are Equity Russia with -3.64%, Short-Commodity Energy (4) with -2.5% and Equity Pakistan (2) with -2.05%.
In the last week, the best performers were: Fixed Income Corporate High Yield (52) with 164.11%, Equity Austria (2) with 6.14% and Equity UK Dividend (4) with 6.12%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -20.92% and Equity Eastern Europe with -15.7%.
Over the past month, the best performers were: Fixed Income Corporate High Yield (52) with 162.05%, Specialty VIX (2) with 29.21% and Short-Equity Eurozone (14) with 6.45%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -22.04% and Equity Thematic Electric Vehicles (8) with -14.82%.
For the past year, the best performers were: Equity China (35) with 546.73%, Fixed Income Corporate High Yield (52) with 175.1% and Equity Eurozone (152) with 137.05%; the worst: Equity Russia with -77.41%, Equity Thematic Cannabis with -41.89% and Equity Indonesia (7) with -25.65%.
New highs and lows
One-year high (35) : Vanguard FTSE Developed Europe ex UK Distributing, Xtrackers II Overnight Rate Swap, iShares Eur Govt Bond 0-1yr, iShares Eur Govt Bond 3-5yr, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Amundi Euro Government Bond 3-5Y UCITS ETF Acc EUR, BNP Paribas Easy Eur Corp Bond SRI Fossil Free 3-5Y, Lyxor PEA Obligations d Etat Euro, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Lyxor EuroMTS 1-3Y Italy BTP Government Bond, Multi Units Luxembourg - Lyxor EuroMTS 5-7Y Investment Grade (DR) UCITS ETF, HSBC MSCI Turkey, MULTI UNITS LUXEMBOURG Lyxor Euro Government Bond 1-3Y, iShares Core Eur Corp Bond Hedged, Lyxor EuroMTS Highest Rated Macro Weighted Govt Bond 1-3Y, Lyxor Usd Floating Rate Note Hedged, Amundi Govt Bond EuroMTS Broad Investment Grade 3-5, Xtrackers II - EUR Corporate Bond UCITS ETF, iShares eb.rexx Money Market, ComStage Bund Future Short, Lyxor EuroMTS Highest Rated Macro Weighted Govt Bond 3-5Y, VanEck Vectors iBoxx Sovereign Capped AAA AA 1-5, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 3-5 UCITS ETF DR, HSBC MSCI Turkey, Amundi Govt Bond Lowest Rated Euromts Investment Grade 1-3, Lyxor EuroMTS Highest Rated Macro Weighted Govt Bond 1-3Y, Multi Units France Lyxor MSCI USA, iShares Eur High Yield Corp Bond, UBS FTSE 100, Lyxor Euromts Covered Bond Aggregate, Amundi Govt Bond EuroMTS Broad Investment Grade 1-3, ...
All-time low (15) : HSBC MSCI EM Latin America, iShares MSCI Eastern Europe Capped, Lyxor MSCI Russia, WisdomTree Gold 1x Daily Short, Invesco RDX, iShares Public Limited Company iShares MSCI Eastern Europe Capped, Xtrackers MSCI Russia Capped Swap, Tabula iTraxx IG Bond Index Distributing, HSBC MSCI Russia Capped, Xtrackers MSCI Russia Capped Swap, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, Lyxor MSCI Russia and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (8) : WisdomTree Zinc, Invesco RDX, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Lyxor MSCI AC Asia Pacific Ex Japan, Xtrackers MSCI USA Health Care, Xtrackers MSCI USA Health Care, Invesco Health Care S&P US Select Sector and iShares S&P 500 Health Care Sector
The 354 AIndex analysed are 37.29% long and ended the trading day with a weighted daily change of 0.03% and a weekly change of 0.99%.
There are 6 new buys (AIndex Energy Equipment & Services - L20, AIndex Etf EUR Value - L10, AIndex Etf TS EUR Risk 1/7 - L10, AIndex S&P 500 + Nasdaq 100 - L40, AIndex STOXX Europe 600 - Nordic - L10 and AIndex Software - L40). With the new changes, long positions will increase by 1.69%.
There are also changes in the AIndexes: replacements in Anti-Pandemic - L10 / L20 / L40, S&P 500 + Nasdaq 100 - L40, S&P 500 - L20 / L40, STOXX Europe 600 - GBP - L40, STOXX Europe 600 - Multicurrency - L40 and World ESG Leader - L40; new entries in Aerospace & Defense - L10 / L20, Agribusiness - L20 / L40, Banks - L10 / L20 / L40, Biotechnology - L10 / L40, Canada - L10 / L20 / L40, Capital Markets - L10 / L20 / L40, Chemicals - L20 / L40, Clean Energy - L10 / L20 / L40, Clean Water - L20 / L40, Commercial Services & Supplies - L10 / L20 / L40, Construction Materials - L20, Containers & Packaging - L10 / L20, Crypto - Revolut - L10, Crypto - Top - L20, Deglobalization (Basic resources) - L20, Denmark - L40, Digital Infrastructure & 5G - L10 / L20, Diversified Financial Services - L10 / L20, Diversified Telecommunication Services - L10 / L20, Electrical Equipment - L10 / L20 / L40, Electronic Equipment Instruments & Components - L20 / L40, Equity Real Estate Investment Trusts (REITs) - L40, Etf EUR Growth - L10 / L40, Etf EUR Value - L20 / L40, Etf Global Low Risk - L10 / L20, Etf Global Medium Risk - L20 / L40, Etf IW EUR Risk 1/7 - L10, Etf USD Growth - L10 / L20 / L40, Etf USD Value - L05 / L10 / L20 / L40, FinTech - L10 / L20 / L40, Food Products - L20 / L40, France - L10 / L20 / L40, Germany - L10 / L20 / L40, Global Dividend - L20 / L40, Global Infrastructure - L40, Health Care Equipment & Supplies - L20 / L40, Health Care Providers & Services - L20 / L40, Hotels Restaurants & Leisure - L20 / L40, Household Durables - L10 / L20, Inflation Beneficiaries - L10 / L20, Internet & Direct Marketing Retail - L10 / L20, Italy - L40, Italy MIB 40 - L20, Italy PIR - Mid - L20, Listed Private Equity - L40, Luxury - L20, Machinery - L10 / L40, Media - L20 / L40, Nasdaq Biotechnology - L20 / L40, Oil Gas & Consumable Fuels - L40, Personal Products - L10, Pharmaceuticals - L20 / L40, Real Estate Management & Development - L20 / L40, Robotics & Artificial Intelligence - L40, STOXX Europe 50 - EUR - L10 / L20, STOXX Europe 600 - CHF - L20, STOXX Europe 600 - EUR - L20 / L40, STOXX Europe 600 - Multicurrency - L20, STOXX Europe 600 - Nordic - L10 / L20 / L40, Semiconductors & Semiconductor Equipment - L20 / L40, Software - L20 / L40, Space Innovation - L10 / L20, Spain - L10 / L20 / L40, Specialty Retail - L40, Stock EUR + USD Mix 50 / x 60 / x 70, Stock EUR Growth - L20 / L40, Stock EUR Lack - L05 / L10 / L20 / L40, Stock EUR Mix 25 / x 40 / x 60, Stock EUR Value - L20 / L40, Stock USD + Etf Mix 60, Stock USD Growth - L10 / L40, Stock USD Mix 20 / x 25, Sustainable Food - L10 / L20, Switzerland - L20 / L40, Textiles Apparel & luxury goods - L10 / L20, US Large Cap ESG - L10 / L20 / L40, Video Game & eSport - L10 / L20, Wood & Paper - L20, World ESG Leader - L10 / L20; exits in Hong Kong China Enterprises - L20, S&P 500 - L10, STOXX Europe 600 - GBP - L20, Trading Companies & Distributors - L10 / L20.
New highs and lows
All-time high (8) : AIndex Australia - L20, AIndex Food & Staples Retailing - L20, AIndex Food & Staples Retailing - L10, AIndex Funds DB EUR Risk 4/7 - L10, AIndex Tobacco - L10, AIndex Funds EV EUR Risk 2/5 - L10, AIndex Funds AF EUR Risk 1/4 - L10 and AIndex Funds DB EUR Risk 1/4 - L10
One-year high (5) : AIndex Italy PIR - Small - L20, AIndex Italy PIR - Small - L10, AIndex Australia - L40, AIndex Funds OM EUR Risk 2/5 - L10 and AIndex Gas Utilities - L10
One-year low (13) : AIndex Genomic Revolution - L10, AIndex Genomic Revolution - L20, AIndex Hong Kong - L20, AIndex Life Sciences Tools & Services - L10, AIndex Life Sciences Tools & Services - L20, AIndex Semiconductor - L20, AIndex Semiconductors & Semiconductor Equipment - L10, AIndex Semiconductors & Semiconductor Equipment - L20, AIndex Semiconductors & Semiconductor Equipment - L40, AIndex Technology Hardware Storage & Peripherals - L10, AIndex Etf EUR Growth - L05, AIndex Etf EUR Growth - L10 and AIndex Hong Kong - L40
Signals
There are also changes in the AIndexes: replacements in Anti-Pandemic - L10 / L20 / L40, S&P 500 + Nasdaq 100 - L40, S&P 500 - L20 / L40, STOXX Europe 600 - GBP - L40, STOXX Europe 600 - Multicurrency - L40 and World ESG Leader - L40; new entries in Aerospace & Defense - L10 / L20, Agribusiness - L20 / L40, Banks - L10 / L20 / L40, Biotechnology - L10 / L40, Canada - L10 / L20 / L40, Capital Markets - L10 / L20 / L40, Chemicals - L20 / L40, Clean Energy - L10 / L20 / L40, Clean Water - L20 / L40, Commercial Services & Supplies - L10 / L20 / L40, Construction Materials - L20, Containers & Packaging - L10 / L20, Crypto - Revolut - L10, Crypto - Top - L20, Deglobalization (Basic resources) - L20, Denmark - L40, Digital Infrastructure & 5G - L10 / L20, Diversified Financial Services - L10 / L20, Diversified Telecommunication Services - L10 / L20, Electrical Equipment - L10 / L20 / L40, Electronic Equipment Instruments & Components - L20 / L40, Equity Real Estate Investment Trusts (REITs) - L40, Etf EUR Growth - L10 / L40, Etf EUR Value - L20 / L40, Etf Global Low Risk - L10 / L20, Etf Global Medium Risk - L20 / L40, Etf IW EUR Risk 1/7 - L10, Etf USD Growth - L10 / L20 / L40, Etf USD Value - L05 / L10 / L20 / L40, FinTech - L10 / L20 / L40, Food Products - L20 / L40, France - L10 / L20 / L40, Germany - L10 / L20 / L40, Global Dividend - L20 / L40, Global Infrastructure - L40, Health Care Equipment & Supplies - L20 / L40, Health Care Providers & Services - L20 / L40, Hotels Restaurants & Leisure - L20 / L40, Household Durables - L10 / L20, Inflation Beneficiaries - L10 / L20, Internet & Direct Marketing Retail - L10 / L20, Italy - L40, Italy MIB 40 - L20, Italy PIR - Mid - L20, Listed Private Equity - L40, Luxury - L20, Machinery - L10 / L40, Media - L20 / L40, Nasdaq Biotechnology - L20 / L40, Oil Gas & Consumable Fuels - L40, Personal Products - L10, Pharmaceuticals - L20 / L40, Real Estate Management & Development - L20 / L40, Robotics & Artificial Intelligence - L40, STOXX Europe 50 - EUR - L10 / L20, STOXX Europe 600 - CHF - L20, STOXX Europe 600 - EUR - L20 / L40, STOXX Europe 600 - Multicurrency - L20, STOXX Europe 600 - Nordic - L10 / L20 / L40, Semiconductors & Semiconductor Equipment - L20 / L40, Software - L20 / L40, Space Innovation - L10 / L20, Spain - L10 / L20 / L40, Specialty Retail - L40, Stock EUR + USD Mix 50 / x 60 / x 70, Stock EUR Growth - L20 / L40, Stock EUR Lack - L05 / L10 / L20 / L40, Stock EUR Mix 25 / x 40 / x 60, Stock EUR Value - L20 / L40, Stock USD + Etf Mix 60, Stock USD Growth - L10 / L40, Stock USD Mix 20 / x 25, Sustainable Food - L10 / L20, Switzerland - L20 / L40, Textiles Apparel & luxury goods - L10 / L20, US Large Cap ESG - L10 / L20 / L40, Video Game & eSport - L10 / L20, Wood & Paper - L20, World ESG Leader - L10 / L20; exits in Hong Kong China Enterprises - L20, S&P 500 - L10, STOXX Europe 600 - GBP - L20, Trading Companies & Distributors - L10 / L20.
New highs and lows
One-year high (5) : AIndex Italy PIR - Small - L20, AIndex Italy PIR - Small - L10, AIndex Australia - L40, AIndex Funds OM EUR Risk 2/5 - L10 and AIndex Gas Utilities - L10
One-year low (13) : AIndex Genomic Revolution - L10, AIndex Genomic Revolution - L20, AIndex Hong Kong - L20, AIndex Life Sciences Tools & Services - L10, AIndex Life Sciences Tools & Services - L20, AIndex Semiconductor - L20, AIndex Semiconductors & Semiconductor Equipment - L10, AIndex Semiconductors & Semiconductor Equipment - L20, AIndex Semiconductors & Semiconductor Equipment - L40, AIndex Technology Hardware Storage & Peripherals - L10, AIndex Etf EUR Growth - L05, AIndex Etf EUR Growth - L10 and AIndex Hong Kong - L40