Top 10 Aindexes
1) AIndex Pharmaceuticals - L10 with Swedencare publ AB, Yunnan Baiyao Group Co Ltd and ANI Pharmaceuticals Inc
2) AIndex Biotechnology - L10 with Xencor Inc, Karyopharm Therapeutics Inc and Natera Inc
3) AIndex Printing 3D - L20 with Carpenter Technology Corporation, Dupont De Nemours Inc and Hexcel Corporation
4) AIndex Independent Power and Renewable Electricity Producers - L10 with Scatec Solar OL, SDIC Power Holdings Co Ltd and Huadian Power International Corp Ltd
5) AIndex Metals & Mining - L10 with Carpenter Technology Corporation, Gold Fields Ltd ADR and Silvercorp Metals Inc
6) AIndex Thrifts & Mortgage Finance - L10 with Axos Financial Inc, Equitable Group Inc. and MGIC Investment Corp
7) AIndex Stock USD Value - L10 with Dupont De Nemours Inc, Graham Holdings Co and Ingevity Corp
8) AIndex Stock USD Growth - L05 with Clean Harbors Inc, Trade Desk Inc and Teleflex Incorporated
9) AIndex Interactive Media & Services - L20 with Pinterest Inc, Domain Holdings Australia Ltd and Auto Trader Group plc
10) AIndex Crypto - Top - L10 with XRP, Stellar and Dash
2) AIndex Biotechnology - L10 with Xencor Inc, Karyopharm Therapeutics Inc and Natera Inc
3) AIndex Printing 3D - L20 with Carpenter Technology Corporation, Dupont De Nemours Inc and Hexcel Corporation
4) AIndex Independent Power and Renewable Electricity Producers - L10 with Scatec Solar OL, SDIC Power Holdings Co Ltd and Huadian Power International Corp Ltd
5) AIndex Metals & Mining - L10 with Carpenter Technology Corporation, Gold Fields Ltd ADR and Silvercorp Metals Inc
6) AIndex Thrifts & Mortgage Finance - L10 with Axos Financial Inc, Equitable Group Inc. and MGIC Investment Corp
7) AIndex Stock USD Value - L10 with Dupont De Nemours Inc, Graham Holdings Co and Ingevity Corp
8) AIndex Stock USD Growth - L05 with Clean Harbors Inc, Trade Desk Inc and Teleflex Incorporated
9) AIndex Interactive Media & Services - L20 with Pinterest Inc, Domain Holdings Australia Ltd and Auto Trader Group plc
10) AIndex Crypto - Top - L10 with XRP, Stellar and Dash
1) AIndex Nasdaq Biotechnology - L10 with Phibro Animal Health Corporation, Geron Corporation and Kamada
2) AIndex Marine - L10 with Wallenius Wilhelmsen Logistics ASA, Golden Ocean Group Ltd and SITC International Holdings Co Ltd
3) AIndex Building Products - L10 with Munters Group AB, Volution Group plc and Trane Technologies plc
4) AIndex Construction & Engineering - L10 with Tutor Perini Corporation, Peab AB (publ) and China Communications Const-H
5) AIndex Rare Earth - L10 with Rainbow Rare Earths Limited, Eramet SA and Tronox Holdings PLC
6) AIndex Hong Kong China Enterprises - L10 with CNOOC Ltd, Xiaomi Corp and Bank of Communications Co Ltd
7) AIndex Hong Kong - L10 with Prada SpA, Kerry Properties Ltd and VSTECS Holdings Ltd
8) AIndex Health Care Equipment & Supplies - L10 with Xvivo Perfusion AB, Resmed Inc DRC and Fisher & Paykel Healthcare Corporation Limited
9) AIndex Anti-Pandemic - L10 with Immunitybio Inc, Cargojet Inc and BB Biotech AG
10) AIndex Biotechnology - L40 with Immunitybio Inc, Xencor Inc and Swedish Orphan Biovitrum AB (publ)
2) AIndex Marine - L10 with Wallenius Wilhelmsen Logistics ASA, Golden Ocean Group Ltd and SITC International Holdings Co Ltd
3) AIndex Building Products - L10 with Munters Group AB, Volution Group plc and Trane Technologies plc
4) AIndex Construction & Engineering - L10 with Tutor Perini Corporation, Peab AB (publ) and China Communications Const-H
5) AIndex Rare Earth - L10 with Rainbow Rare Earths Limited, Eramet SA and Tronox Holdings PLC
6) AIndex Hong Kong China Enterprises - L10 with CNOOC Ltd, Xiaomi Corp and Bank of Communications Co Ltd
7) AIndex Hong Kong - L10 with Prada SpA, Kerry Properties Ltd and VSTECS Holdings Ltd
8) AIndex Health Care Equipment & Supplies - L10 with Xvivo Perfusion AB, Resmed Inc DRC and Fisher & Paykel Healthcare Corporation Limited
9) AIndex Anti-Pandemic - L10 with Immunitybio Inc, Cargojet Inc and BB Biotech AG
10) AIndex Biotechnology - L40 with Immunitybio Inc, Xencor Inc and Swedish Orphan Biovitrum AB (publ)
1) AIndex Marine - L10 with Wallenius Wilhelmsen Logistics ASA, Pacific Basin Shipping Ltd and SITC International Holdings Co Ltd
2) AIndex Hong Kong China Enterprises - L10 with Xiaomi Corp, CNOOC Ltd and Bank of Communications Co Ltd
3) AIndex Global Infrastructure - L10 with Kunlun Energy, Tutor Perini Corporation and Woodward Inc
4) AIndex Nasdaq Biotechnology - L10 with Geron Corporation, Phibro Animal Health Corporation and Amphastar P
5) AIndex Entertainment - L10 with Sea Ltd, Modern Times Group Mtg AB and Liberty Media Corporation Series C Liberty Formula One Common Stock
6) AIndex Etf EUR Lack - L05 with Lyxor MSCI Turkey, WisdomTree Natural Gas 1x Daily Short and SPDR Bloomberg Barclays 0 5 Year U.S. High Yield Bond
7) AIndex Hong Kong - L20 with Huabao International Holdings Ltd, Xiaomi Corp and Dah Sing Banking Group Ltd
8) AIndex Independent Power and Renewable Electricity Producers - L20 with Grenergy Renovables S.A, CGN Power and Datang Intl Power Gen Co-H
9) AIndex Agribusiness - L10 with Japfa Ltd., Vital Farms Inc and Associated British Foods PLC
10) AIndex Anti-Pandemic - L20 with Immunitybio Inc, SITC International Holdings Co Ltd and Flow Traders BV
2) AIndex Hong Kong China Enterprises - L10 with Xiaomi Corp, CNOOC Ltd and Bank of Communications Co Ltd
3) AIndex Global Infrastructure - L10 with Kunlun Energy, Tutor Perini Corporation and Woodward Inc
4) AIndex Nasdaq Biotechnology - L10 with Geron Corporation, Phibro Animal Health Corporation and Amphastar P
5) AIndex Entertainment - L10 with Sea Ltd, Modern Times Group Mtg AB and Liberty Media Corporation Series C Liberty Formula One Common Stock
6) AIndex Etf EUR Lack - L05 with Lyxor MSCI Turkey, WisdomTree Natural Gas 1x Daily Short and SPDR Bloomberg Barclays 0 5 Year U.S. High Yield Bond
7) AIndex Hong Kong - L20 with Huabao International Holdings Ltd, Xiaomi Corp and Dah Sing Banking Group Ltd
8) AIndex Independent Power and Renewable Electricity Producers - L20 with Grenergy Renovables S.A, CGN Power and Datang Intl Power Gen Co-H
9) AIndex Agribusiness - L10 with Japfa Ltd., Vital Farms Inc and Associated British Foods PLC
10) AIndex Anti-Pandemic - L20 with Immunitybio Inc, SITC International Holdings Co Ltd and Flow Traders BV
Long stocks to watch
(LOTB/BE0003604155), listed in Belgium, closed the day's trading on 30th Apr at 9430 EUR with a daily change of 0.43%. 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 9200 on 23rd Apr and now gains 2.5%, the stop loss which is currently positioned at 8184.21 is 13.21% away from the last closing value and corresponds to 0.56 standard deviations (23.77%). In the last 4 weeks during its upward movem...
Category: Stock - Food, Beverage & Tobacco: Packaged Foods & Meats
ISIN: BE0003604155 Curncy: EUR Country:
(DIS/LU0290697514), listed in Italy, closed the day's trading on 30th Apr at 6.73 EUR with a daily change of 1.2%. The Stock's five-year performance is mostly lack, but at the moment is growth. On the last trading day, the Stock hit a one-year high. AI bought the Stock at 6.014 on 20th Feb and now gains 11.9%, the stop loss which is currently positioned at 5.397 is 19.8% away from the last closing value and corresponds to 0.47 standard deviations (42.09%). In the last 4 weeks du...
Category: Stock - Oil & Gas Storage & Transportation
ISIN: LU0290697514 Curncy: EUR Country:
(MYTIL/GRS393503008), listed in Greece, closed the day's trading on 30th Apr at 38.2 EUR with a daily change of 0.37%. The Stock's five-year performance is mostly growth. AI bought the Stock at 38.3 on 16th Jan and now loses -0.26%, the stop loss which is currently positioned at 32.341 is 15.34% away from the last closing value and corresponds to 0.35 standard deviations (43.74%). The Stock is at main cycle high at 12 o'clock from 30th Apr. The AI system, in the 3541 market day...
Category: Stock - Industrial Conglomerates
ISIN: GRS393503008 Curncy: EUR Country:
(RAND/NL0000379121), listed in Netherlands, closed the day's trading on 30th Apr at 47.2 EUR with a daily change of 0.02%. 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 sideways movement it opened a daily bearish price gap from 46.3 to 48.13 on 23rd Apr, partially closing it since 29th Apr. The average volume during negative days is the highest and peaked on 23rd Apr with 1296031 units traded...
Category: Stock - Human Resource & Employment Services
ISIN: NL0000379121 Curncy: EUR Country:
(BAMI/IT0005218380), listed in Italy, closed the day's trading on 30th Apr at 6.184 EUR with a daily change of 0.32%. The Stock's five-year performance is mostly growth. AI bought the Stock at 4.072 on 31st Aug 2023 and now gains 51.87%, the stop profit which is currently positioned at 4.817 is 22.1% 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 18th Apr with 33022055 units t...
Category: Stock - Diversified Banks
ISIN: IT0005218380 Curncy: EUR Country:
(LLY/US5324571083), listed in USA, closed the day's trading on 1st May at 776.75 USD with a daily change of -0.56%. The Stock's five-year performance is mostly growth. AI bought the Stock at 362.46 on 6th Apr 2023 and now gains 114.3%, the stop profit which is currently positioned at 644.61 is 17.01% away from the last closing value and corresponds to 0.68 standard deviations (24.91%). In the last 4 weeks during its sideways movement it opened a daily bullish price gap from 740....
Category: Stock - Pharmaceuticals
ISIN: US5324571083 Curncy: USD Country:
(CARR/US14448C1045), listed in USA, closed the day's trading on 1st May at 61.12 USD with a daily change of -0.6%. The Stock's five-year performance is mostly growth. AI bought the Stock at 61.25 on 1st May and now loses -0.21%, the stop loss which is currently positioned at 47.473 is 22.33% away from the last closing value and corresponds to 0.56 standard deviations (39.89%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 55.94 to 56.635...
Category: Stock - Building Products
ISIN: US14448C1045 Curncy: USD Country:
(CMG/US1696561059), listed in USA, closed the day's trading on 1st May at 3138.66 USD with a daily change of -0.66%. The Stock's five-year performance is mostly growth. AI bought the Stock at 2036 on 3rd Nov 2023 and now gains 54.16%, the stop profit which is currently positioned at 2567.58 is 18.2% away from the last closing value and corresponds to 0.52 standard deviations (35.15%). The Stock is at main cycle high at 12 o'clock from 23rd Apr. The AI system, in the 3605 market...
Category: Stock - Restaurants
ISIN: US1696561059 Curncy: USD Country:
(NVDA/US67066G1040), listed in USA, closed the day's trading on 1st May at 830.41 USD with a daily change of -3.89%. The Stock's five-year performance is mostly growth. AI bought the Stock at 286.71 on 2nd May 2023 and now gains 189.64%, the stop profit which is currently positioned at 760.02 is 8.48% away from the last closing value and corresponds to 0.19 standard deviations (45.82%). The Stock started its descent from the main cycle high at 1 o'clock from 1st May. The AI sys...
Category: Stock - Semiconductors
ISIN: US67066G1040 Curncy: USD Country:
(TT/IE00BK9ZQ967), listed in USA, closed the day's trading on 1st May at 314.98 USD with a daily change of -0.74%. The Stock's five-year performance is mostly growth. AI bought the Stock at 215.29 on 7th Nov 2023 and now gains 46.3%, the stop profit which is currently positioned at 253.87 is 19.4% away from the last closing value and corresponds to 0.69 standard deviations (28.06%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 307.95 to...
Category: Stock - Building Products
ISIN: IE00BK9ZQ967 Curncy: USD Country:
(PLUS/IL0011284465), listed in UK, closed the day's trading on 1st May at 2180 GBX with a daily change of 0.83%. 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 1799 on 9th Jan and now gains 21.18%, the stop loss which is currently positioned at 1660.33 is 23.84% away from the last closing value. In the last 4 weeks during its upward movement, the average volume during positive days is the highes...
Category: Stock - Specialized Finance
ISIN: IL0011284465 Curncy: GBX Country:
(AZN/GB0009895292), listed in UK, closed the day's trading on 1st May at 12170 GBX with a daily change of 0.9%. The Stock's five-year performance is mostly growth. AI bought the Stock at 9747.12 on 16th Feb and now gains 24.86%, the stop profit which is currently positioned at 11561.5 is 5% away from the last closing value and corresponds to 0.22 standard deviations (23.18%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 11412 to 11790 o...
Category: Stock - Pharmaceuticals
ISIN: GB0009895292 Curncy: GBX Country:
(ERGO/GB00BN7ZCY67), listed in UK, closed the day's trading on 13th Nov 2023 at 1346 GBX. The Stock's five-year performance is mostly growth. AI bought the Stock at 1350 on 7th Sep 2023 and now loses -0.3%, the stop loss which is currently positioned at 1157.98 is 13.97% away from the last closing value and corresponds to 0.33 standard deviations (41.82%). The Stock is at main cycle high at 12 o'clock from 4th Sep 2023. The AI system, in the 2106 market days analysed, identifie...
Category: Stock - Life Sciences Tools & Services
ISIN: GB00BN7ZCY67 Curncy: GBX Country:
(BA/GB0002634946), listed in UK, closed the day's trading on 1st May at 1338 GBX with a daily change of 0.38%. The Stock's five-year performance is mostly growth. AI bought the Stock at 1060 on 19th Oct 2023 and now gains 26.23%, the stop profit which is currently positioned at 1161.47 is 13.19% away from the last closing value and corresponds to 0.57 standard deviations (23.16%). The Stock is at main cycle high at 12 o'clock from 26th Apr. The AI system, in the 3622 market day...
Category: Stock - Aerospace & Defense
ISIN: GB0002634946 Curncy: GBX Country:
(ULVR/GB00B10RZP78), listed in UK, closed the day's trading on 1st May at 4140 GBX. The Stock's five-year performance is mostly value. AI bought the Stock at 4119 on 29th Apr and now gains 0.51%, the stop loss which is currently positioned at 3868.7 is 6.55% away from the last closing value and corresponds to 0.33 standard deviations (19.56%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 3887 to 4001 on 25th Apr. The Stock is at main cy...
Category: Stock - Personal Products
ISIN: GB00B10RZP78 Curncy: GBX Country:
(ABBN/CH0012221716), listed in Switzerland, closed the day's trading on 30th Apr at 44.89 CHF with a daily change of -0.93%. 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 34.191 on 1st Dec 2023 and now gains 31.29%, the stop profit which is currently positioned at 38.514 is 14.2% away from the last closing value and corresponds to 0.59 standard deviations (23.94%). In the last 4 weeks during it...
Category: Stock - Electrical Components & Equipment
ISIN: CH0012221716 Curncy: CHF Country:
(SQN/CH0010675863), listed in Switzerland, closed the day's trading on 30th Apr at 250 CHF with a daily change of -1.11%. The Stock's five-year performance is mostly growth. AI bought the Stock at 188.8 on 10th Nov 2023 and now gains 32.42%, the stop profit which is currently positioned at 216.1 is 13.56% away from the last closing value and corresponds to 0.37 standard deviations (37.03%). The Stock is at main cycle high at 12 o'clock from 26th Apr. The AI system, in the 3603 ...
Category: Stock - Investment Banking & Brokerage
ISIN: CH0010675863 Curncy: CHF Country:
(PGHN/CH0024608827), listed in Switzerland, closed the day's trading on 30th Apr at 1189.5 CHF with a daily change of -0.83%. The Stock's five-year performance is mostly value. AI bought the Stock at 1056 on 20th Sep 2023 and now gains 12.64%, the stop profit which is currently positioned at 1090.87 is 8.29% away from the last closing value and corresponds to 0.33 standard deviations (25.26%). In the last 4 weeks during its downward movement it opened a daily bearish price gap f...
Category: Stock - Asset Management & Custody Banks
ISIN: CH0024608827 Curncy: CHF Country:
(HOLN/CH0012214059), listed in Switzerland, closed the day's trading on 30th Apr at 77.18 CHF with a daily change of -2.23%. The Stock's five-year performance is mostly value. AI bought the Stock at 43.64 on 11th Mar 2022 and now gains 76.86%, the stop profit which is currently positioned at 69.411 is 10.07% away from the last closing value and corresponds to 0.38 standard deviations (26.79%). The Stock is at main cycle high at 12 o'clock from 23rd Apr. The AI system, in the 36...
Category: Stock - Construction Materials
ISIN: CH0012214059 Curncy: CHF Country:
(LONN/CH0013841017), listed in Switzerland, closed the day's trading on 30th Apr at 510.4 CHF with a daily change of -2.3%. The Stock's five-year performance is mostly growth, but at the moment is lack. AI bought the Stock at 465.4 on 15th Feb and now gains 9.67%, the stop loss which is currently positioned at 437.92 is 14.2% away from the last closing value and corresponds to 0.49 standard deviations (29.24%). The Stock started its descent from the main cycle high at 1 o'clock ...
Category: Stock - Life Sciences Tools & Services
ISIN: CH0013841017 Curncy: CHF Country:
(TLX/AU000000TLX2), listed in Australia, closed the day's trading on 1st May at 14.67 AUD with a daily change of -2.52%. The Stock's five-year performance is mostly growth. AI bought the Stock at 11.96 on 5th Feb and now gains 22.66%, the stop loss which is currently positioned at 11.632 is 20.71% away from the last closing value. In the last 4 weeks during its upward movement it opened a daily bullish price gap from 12.96 to 13.25 on 18th Apr. The average volume during positive...
Category: Stock - Biotechnology
ISIN: AU000000TLX2 Curncy: AUD Country:
(FMG/AU000000FMG4), listed in Australia, closed the day's trading on 1st May at 25.32 AUD with a daily change of -2.8%. The Stock's five-year performance is mostly growth. AI bought the Stock at 22.242 on 8th Nov 2023 and now gains 13.84%, the stop profit which is currently positioned at 23.329 is 7.86% away from the last closing value and corresponds to 0.17 standard deviations (46.54%). The Stock continues its descent from the main cycle high at 2 o'clock from 1st May. The AI...
Category: Stock - Metals & Mining: Steel
ISIN: AU000000FMG4 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:
(PME/AU000000PME8), listed in Australia, closed the day's trading on 1st May at 109.25 AUD with a daily change of -1.94%. The Stock's five-year performance is mostly growth. AI bought the Stock at 110.2 on 10th Apr and now loses -0.86%, the stop loss which is currently positioned at 94.817 is 13.21% away from the last closing value. The Stock is at main cycle high at 12 o'clock from 23rd Apr. The AI system, in the 3133 market days analysed, identified 18 operations for the Stoc...
Category: Stock - Health Care Technology
ISIN: AU000000PME8 Curncy: AUD Country:
(RMD/AU000000RMD6), listed in Australia, closed the day's trading on 1st May at 32.75 AUD with a daily change of -0.3%. The Stock's five-year performance is mostly growth. AI bought the Stock at 29.362 on 6th Feb and now gains 11.54%, the stop loss which is currently positioned at 27.715 is 15.37% away from the last closing value and corresponds to 0.57 standard deviations (26.88%). In the last 4 weeks during its upward movement it has opened 4 daily gaps of more than 1.1% exten...
Category: Stock - Health Care Equipment
ISIN: AU000000RMD6 Curncy: AUD Country:
(CS/CA14071L1085), listed in Canada, closed the day's trading on 1st May at 9.4 CAD with a daily change of -1.36%. The Stock's five-year performance is mostly growth. AI bought the Stock at 6.68 on 26th Jan and now gains 40.72%, the stop profit which is currently positioned at 8.489 is 9.69% away from the last closing value. The Stock started its descent from the main cycle high at 1 o'clock from 30th Apr. The AI system, in the 3595 market days analysed, identified 17 operation...
Category: Stock - Metals & Mining: Copper
ISIN: CA14071L1085 Curncy: CAD Country:
(STN/CA85472N1096), listed in Canada, closed the day's trading on 1st May at 110.66 CAD with a daily change of 0.96%. The Stock's five-year performance is mostly growth. AI bought the Stock at 96.454 on 17th Nov 2023 and now gains 14.73%, the stop profit which is currently positioned at 97.112 is 12.24% away from the last closing value and corresponds to 0.5 standard deviations (24.28%). The Stock started its descent from the main cycle high at 1 o'clock from 29th Apr. The AI s...
Category: Stock - Research & Consulting Services
ISIN: CA85472N1096 Curncy: CAD Country:
(L/CA5394811015), listed in Canada, closed the day's trading on 1st May at 152.84 CAD with a daily change of 1.25%. The Stock's five-year performance is mostly growth. AI bought the Stock at 122.51 on 8th Dec 2023 and now gains 24.76%, the stop profit which is currently positioned at 137.53 is 10.02% away from the last closing value and corresponds to 0.53 standard deviations (18.87%). The Stock is at main cycle high at 12 o'clock from 15th Apr. The AI system, in the 3595 marke...
Category: Stock - Food & Staples Retailing: Food Retail
ISIN: CA5394811015 Curncy: CAD Country:
(DOL/CA25675T1075), listed in Canada, closed the day's trading on 1st May at 115.17 CAD with a daily change of 0.29%. The Stock's five-year performance is mostly growth. AI bought the Stock at 46.035 on 1st Jun 2020 and now gains 150.18%, the stop profit which is currently positioned at 99.983 is 13.19% away from the last closing value and corresponds to 0.57 standard deviations (23.22%). The Stock is at main cycle high at 12 o'clock from 17th Apr. The AI system, in the 3595 ma...
Category: Stock - General Merchandise Stores
ISIN: CA25675T1075 Curncy: CAD Country:
(CSU/CA21037X1006), listed in Canada, closed the day's trading on 1st May at 3616.7 CAD with a daily change of 2.04%. The Stock's five-year performance is mostly growth. AI bought the Stock at 2268.02 on 16th Jan 2023 and now gains 59.46%, the stop profit which is currently positioned at 3370.17 is 6.82% away from the last closing value and corresponds to 0.26 standard deviations (25.74%). The Stock started its descent from the main cycle high at 1 o'clock from 26th Apr. The AI...
Category: Stock - Application Software
ISIN: CA21037X1006 Curncy: CAD Country:
(NOVO-B/DK0060534915), listed in Denmark, closed the day's trading on 1st May at 897.7 DKK with a daily change of -0.54%. The Stock's five-year performance is mostly growth. AI bought the Stock at 354.06 on 18th Mar 2022 and now gains 153.54%, the stop profit which is currently positioned at 716.49 is 20.19% away from the last closing value and corresponds to 0.76 standard deviations (26.4%). The Stock is at main cycle high at 12 o'clock from 22nd Apr. The AI system, in the 358...
Category: Stock - Pharmaceuticals
ISIN: DK0060534915 Curncy: DKK Country:
(TRMD-A/GB00BZ3CNK81), listed in Denmark, closed the day's trading on 1st May at 235.8 DKK with a daily change of -2.32%. The Stock's five-year performance is mostly growth. AI bought the Stock at 223 on 5th Jan and now gains 5.74%, the stop loss which is currently positioned at 218.51 is 7.33% away from the last closing value. The Stock started its descent from the main cycle high at 1 o'clock from 1st May, the current position matches the maximum probability of an upward move ...
Category: Stock - Oil & Gas Storage & Transportation
ISIN: GB00BZ3CNK81 Curncy: DKK Country:
(RBREW/DK0060634707), listed in Denmark, closed the day's trading on 1st May at 524 DKK with a daily change of -0.76%. The Stock's five-year performance is mostly lack. AI bought the Stock at 531.5 on 26th Apr and now loses -1.41%, the stop loss which is currently positioned at 456.88 is 12.81% away from the last closing value and corresponds to 0.43 standard deviations (29.91%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 440.4 to 480...
Category: Stock - Food, Beverage & Tobacco: Brewers
ISIN: DK0060634707 Curncy: DKK Country:
(DSV/DK0060079531), listed in Denmark, closed the day's trading on 1st May at 990.6 DKK with a daily change of -0.72%. The Stock's five-year performance is mostly growth, but at the moment is lack. AI bought the Stock at 996 on 1st May and now loses -0.54%, the stop loss which is currently positioned at 972.54 is 1.82% away from the last closing value and corresponds to 0.07 standard deviations (27.07%). This value suggests that the operation is about to close. In the last 4 wee...
Category: Stock - Transportation: Air Freight & Logistics
ISIN: DK0060079531 Curncy: DKK Country:
(DAB/DK0060299063), listed in Denmark, closed the day's trading on 1st May at 12.45 DKK with a daily change of 0.81%. The Stock's five-year performance is mostly growth. AI bought the Stock at 12.4 on 29th Apr and now gains 0.4%, the stop loss which is currently positioned at 11.099 is 10.85% away from the last closing value. In the last 4 weeks during its upward movement it opened a daily bullish price gap from 12.044 to 12.239 on 22nd Apr. The average volume during positive da...
Category: Stock - Regional Banks
ISIN: DK0060299063 Curncy: DKK Country:
Markets close on 1st May
USA: The 1835 stocks analysed are 48.23% long and ended the trading day with a weighted daily change of 0.26% and a weekly change of -0.41%.
There are 7 new buys (Astronics Corporation, Chemed Corp, Immunitybio Inc, Ingevity Corp, Liveramp Holdings Inc, Powell Industries Inc and Y mAbs Therapeutics) and 16 new sell (Accolade Inc, Astec Industries Inc, CDW Corp, CVR Energy Inc, Carlyle Group Inc, Carpenter Technology Corporation, Dupont De Nemours Inc, EnLink Midstream LLC, Garmin Ltd, Halliburton Company, Pinterest Inc, Plains All American Pipeline LP, Ryerson Holding Corp, Skyworks Solutions Inc, Starbucks Corporation and Xencor Inc). With the new changes, long positions will decrease by 0.49%.
There are also changes in the AIndexes: replacements in Biotechnology - L40, Genomic Revolution - L20 / L40, Health Care Equipment & Supplies - L40, Machinery - L10 / L20 / L40, Nasdaq Biotechnology - L40, Semiconductors & Semiconductor Equipment - L20 / L40, Stock EUR + USD Mix 50 / x 70, Stock USD Mix 20 / x 25 / x 40 and Stock USD Value - L10; new entries in Anti-Pandemic - L10 / L20, Biotechnology - L20, Building Products - L20, Cyber Security - L20, Genomic Revolution - L10, Personal Products - L10, Pharmaceuticals - L20 / L40, Professional Services - L10 / L20, Road & Rail - L10 / L20, Semiconductors & Semiconductor Equipment - L10, Stock USD + Etf Mix 60, Stock USD Value - L20, Video Game & eSport - L10 / L20 and World ESG Leader - L40; exits in Banks - L10 / L40, Biotechnology - L10, Capital Markets - L10 / L20 / L40, Construction & Engineering - L40, Deglobalization (Basic resources) - L10 / L40, Electronic Equipment Instruments & Components - L40, Energy Equipment & Services - L20, Food & Staples Retailing - L20, Future Mobility - L10 / L40, Global Conflict - L40, Hotels Restaurants & Leisure - L20 / L40, Interactive Media & Services - L20, Listed Private Equity - L40, Marine - L20, Media - L10 / L20 / L40, NASDAQ 100 - L40, Nasdaq Biotechnology - L20, Oil Gas & Consumable Fuels - L40, Printing 3D - L20, Robotics & Artificial Intelligence - L40, S&P 500 + Nasdaq 100 - L10 / L20 / L40, S&P 500 - L20 / L40, Shipping - L10 / L20, Software - L20 / L40, Space Innovation - L20, Stock USD Growth - L40, Technology Hardware Storage & Peripherals - L20, US Large Cap ESG - L10 and World ESG Leader - L10.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 47.14% of the total and a change of 0.04%, followed by the "Value" group accounting for 27.25% and a change of -0.31% and the "Growth" group accounting for 25.61% and a change of -1.04%.
The change in the top 3 stock categories on 1st May are Education Services (19) with 62.62%, Application Software (81) with 35.51% and Thrifts & Mortgage Finance (14) with 8.35%; at the bottom are Transportation - Marine (11) with -13.89%, Home Furnishings (3) with -7.46% and Technology Distributors (4) with -4.88%.
In the last week, the best performers were: Motorcycle Manufacturers (3) with 326.22%, Education Services (19) with 61.25% and Oil & Gas Exploration & Production (48) with 47.92%; the worst: Oil & Gas Drilling (2) with -9.31%, Transportation - Marine (11) with -9.3% and Metals & Mining - Precious Metals & Minerals (2) with -8.3%.
Over the past month, the best performers were: Motorcycle Manufacturers (3) with 157.17%, Health Care Equipment (43) with 84.7% and Electronic Components (5) with 80.85%; the worst: Oil & Gas Drilling (2) with -15.85%, Home Furnishings (3) with -13.3% and Apparel Retail (11) with -12.88%.
For the past year, the best performers were: Automotive Retail (10) with 124.68%, Independent Power Producers & Energy Traders (5) with 91.5% and Apparel Retail (11) with 66.06%; the worst: Metals & Mining - Precious Metals & Minerals (2) with -59.35%, Renewable Electricity (5) with -48.1% and Metals & Mining - Diversified Metals & Mining (6) with -47.73%.
New highs and lows
All-time high (41) : Watsco Inc, AstraZeneca PLC ADR, Vistra Energy Corp, Seagen Inc, Leidos Holdings Inc, Goldman Sachs Group Inc, CACI International Inc, CSW Industrials Inc, Colgate-Palmolive Company, ImmunoGen Inc, Arch Capital Group Ltd, Church & Dwight Company Inc, Aerojet Rocketdyne Holdings Inc, AerCap Holdings NV, Sailpoint Technologies Holdings Inc, Magellan Midstream Partners LP, Axa Equitable Holdings Inc, LPL Financial Holdings Inc, American Campus Communities Inc, National Instruments Corporation, Ares Capital Corporation, ...
One-year high (50) : Horizon Pharma PLC, Southern Company, Splunk Inc, Duke Energy Corporation, Public Service Enterprise Group Inc, Fifth Third Bancorp, NiSource Inc, Semtech Corporation, Reata Pharmaceuticals Inc, Signify Health Inc, Oak Street Health Inc, Brinker International Inc, Garmin Ltd, Revolution Medicines Inc, Innovative Industrial Properties Inc, Altra Holdings Inc, New Relic Inc, Nielsen Holdings PLC, Maxar Technologies Inc, Chinook Therapeutics Inc, Centennial Resource Development Inc, ...
All-time low (17) : Sol Gel Technologies Ltd, Pluristem, Unique Fabricating Inc, AYRO Inc, FSD Pharma Inc Class B, Upland Software Inc, Eagle Pharmaceuticals Inc, Gamida Cell Ltd, Avaya Holdings Corp, Eos Energy Enterprises Inc, PetMed Express Inc, Cerence Inc, Safeguard Scientifics Inc. Common Stock, Spirit Airlines Inc, Atlas Corp, Sunnova Energy International Inc and Warner Bros Discovery Inc
One-year low (30) : TherapeuticsMD Inc, Destination XL Group Inc, Boston Omaha Corporation, Neenah Paper Inc, W&T Offshore Inc, Galapagos NV ADR, Ryerson Holding Corp, Allegiant Travel Company, New Residential Investment Corp, O-I Glass Inc, Chegg Inc, Leggett & Platt Incorporated, Manitowoc Company Inc, 10X Genomics Inc, Brown-Forman Corporation, YETI Holdings Inc, Legend Biotech Corp, Roche Holding Ltd ADR, Knight Transportation Inc, Teladoc Inc, MarketAxess Holdings Inc, ...
Signals
There are also changes in the AIndexes: replacements in Biotechnology - L40, Genomic Revolution - L20 / L40, Health Care Equipment & Supplies - L40, Machinery - L10 / L20 / L40, Nasdaq Biotechnology - L40, Semiconductors & Semiconductor Equipment - L20 / L40, Stock EUR + USD Mix 50 / x 70, Stock USD Mix 20 / x 25 / x 40 and Stock USD Value - L10; new entries in Anti-Pandemic - L10 / L20, Biotechnology - L20, Building Products - L20, Cyber Security - L20, Genomic Revolution - L10, Personal Products - L10, Pharmaceuticals - L20 / L40, Professional Services - L10 / L20, Road & Rail - L10 / L20, Semiconductors & Semiconductor Equipment - L10, Stock USD + Etf Mix 60, Stock USD Value - L20, Video Game & eSport - L10 / L20 and World ESG Leader - L40; exits in Banks - L10 / L40, Biotechnology - L10, Capital Markets - L10 / L20 / L40, Construction & Engineering - L40, Deglobalization (Basic resources) - L10 / L40, Electronic Equipment Instruments & Components - L40, Energy Equipment & Services - L20, Food & Staples Retailing - L20, Future Mobility - L10 / L40, Global Conflict - L40, Hotels Restaurants & Leisure - L20 / L40, Interactive Media & Services - L20, Listed Private Equity - L40, Marine - L20, Media - L10 / L20 / L40, NASDAQ 100 - L40, Nasdaq Biotechnology - L20, Oil Gas & Consumable Fuels - L40, Printing 3D - L20, Robotics & Artificial Intelligence - L40, S&P 500 + Nasdaq 100 - L10 / L20 / L40, S&P 500 - L20 / L40, Shipping - L10 / L20, Software - L20 / L40, Space Innovation - L20, Stock USD Growth - L40, Technology Hardware Storage & Peripherals - L20, US Large Cap ESG - L10 and World ESG Leader - L10.
Ranking
The change in the top 3 stock categories on 1st May are Education Services (19) with 62.62%, Application Software (81) with 35.51% and Thrifts & Mortgage Finance (14) with 8.35%; at the bottom are Transportation - Marine (11) with -13.89%, Home Furnishings (3) with -7.46% and Technology Distributors (4) with -4.88%.
In the last week, the best performers were: Motorcycle Manufacturers (3) with 326.22%, Education Services (19) with 61.25% and Oil & Gas Exploration & Production (48) with 47.92%; the worst: Oil & Gas Drilling (2) with -9.31%, Transportation - Marine (11) with -9.3% and Metals & Mining - Precious Metals & Minerals (2) with -8.3%.
Over the past month, the best performers were: Motorcycle Manufacturers (3) with 157.17%, Health Care Equipment (43) with 84.7% and Electronic Components (5) with 80.85%; the worst: Oil & Gas Drilling (2) with -15.85%, Home Furnishings (3) with -13.3% and Apparel Retail (11) with -12.88%.
For the past year, the best performers were: Automotive Retail (10) with 124.68%, Independent Power Producers & Energy Traders (5) with 91.5% and Apparel Retail (11) with 66.06%; the worst: Metals & Mining - Precious Metals & Minerals (2) with -59.35%, Renewable Electricity (5) with -48.1% and Metals & Mining - Diversified Metals & Mining (6) with -47.73%.
New highs and lows
One-year high (50) : Horizon Pharma PLC, Southern Company, Splunk Inc, Duke Energy Corporation, Public Service Enterprise Group Inc, Fifth Third Bancorp, NiSource Inc, Semtech Corporation, Reata Pharmaceuticals Inc, Signify Health Inc, Oak Street Health Inc, Brinker International Inc, Garmin Ltd, Revolution Medicines Inc, Innovative Industrial Properties Inc, Altra Holdings Inc, New Relic Inc, Nielsen Holdings PLC, Maxar Technologies Inc, Chinook Therapeutics Inc, Centennial Resource Development Inc, ...
All-time low (17) : Sol Gel Technologies Ltd, Pluristem, Unique Fabricating Inc, AYRO Inc, FSD Pharma Inc Class B, Upland Software Inc, Eagle Pharmaceuticals Inc, Gamida Cell Ltd, Avaya Holdings Corp, Eos Energy Enterprises Inc, PetMed Express Inc, Cerence Inc, Safeguard Scientifics Inc. Common Stock, Spirit Airlines Inc, Atlas Corp, Sunnova Energy International Inc and Warner Bros Discovery Inc
One-year low (30) : TherapeuticsMD Inc, Destination XL Group Inc, Boston Omaha Corporation, Neenah Paper Inc, W&T Offshore Inc, Galapagos NV ADR, Ryerson Holding Corp, Allegiant Travel Company, New Residential Investment Corp, O-I Glass Inc, Chegg Inc, Leggett & Platt Incorporated, Manitowoc Company Inc, 10X Genomics Inc, Brown-Forman Corporation, YETI Holdings Inc, Legend Biotech Corp, Roche Holding Ltd ADR, Knight Transportation Inc, Teladoc Inc, MarketAxess Holdings Inc, ...
UK: The 355 stocks analysed are 50.7% long and ended the trading day with a weighted daily change of -0.24% and a weekly change of 0.55%.
There is one new buy (Oxford Instruments PLC) and one new sell (Learning Technologies Group plc).
There are also changes in the AIndexes: new entries in London - L40; exits in Etf USD Growth - L20 / L40.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 36.9% of the total and a change of 0.7%, followed by the "Growth" group accounting for 15.21% and a change of 0.59% and the "Lack" group accounting for 47.89% and a change of 0.37%.
The change in the top 3 stock categories on 1st May are Biotechnology (6) with 3.52%, Retail REITs (4) with 2.8% and Health Care Technology with 2.1%; at the bottom are Electrical Components & Equipment (2) with -4.3%, Diversified Banks (11) with -2.22% and Hotels / Resorts & Cruise Lines (5) with -1.56%.
In the last week, the best performers were: Metals & Mining - Steel (3) with 107.76%, Electrical Components & Equipment (2) with 9.08% and Consumer Finance with 8.62%; the worst: Transportation - Road & Rail - Trucking (4) with -75.46%, Oil & Gas Equipment & Services (3) with -18.97% and Health Care Supplies (2) with -8.72%.
Over the past month, the best performers were: Consumer Finance with 32.58%, Interactive Home Entertainment (3) with 17.03% and Transportation - Air Freight & Logistics with 14.78%; the worst: Transportation - Road & Rail - Trucking (4) with -78.08%, Metals & Mining - Steel (3) with -44.2% and Oil & Gas Equipment & Services (3) with -12.83%.
For the past year, the best performers were: Aerospace & Defense (10) with 51.54%, Health Care Technology with 46.99% and Building Products (4) with 45.92%; the worst: Electrical Components & Equipment (2) with -49.64%, Metals & Mining - Steel (3) with -49.13% and Transportation - Road & Rail - Trucking (4) with -45.74%.
New highs and lows
All-time high (5) : Plus500 Ltd, HSBC Holdings PLC, Ultra Electronics Holdings PLC, Paragon Banking Group PLC and Aberforth Split Level Income Trust Plc
One-year high (8) : Chemring Group PLC, Coca Cola HBC AG, HomeServe PLC, Micro Focus International PLC, Redcentric, Hilton Food Group Plc, Bakkavor Group PLC and Quilter PLC
All-time low (2) : Coro Energy PLC and Petrofac Ltd
One-year low (2) : TCS Group Holding PLC and Aston Martin Lagonda Global Holdings PLC
Signals
There are also changes in the AIndexes: new entries in London - L40; exits in Etf USD Growth - L20 / L40.
Ranking
The change in the top 3 stock categories on 1st May are Biotechnology (6) with 3.52%, Retail REITs (4) with 2.8% and Health Care Technology with 2.1%; at the bottom are Electrical Components & Equipment (2) with -4.3%, Diversified Banks (11) with -2.22% and Hotels / Resorts & Cruise Lines (5) with -1.56%.
In the last week, the best performers were: Metals & Mining - Steel (3) with 107.76%, Electrical Components & Equipment (2) with 9.08% and Consumer Finance with 8.62%; the worst: Transportation - Road & Rail - Trucking (4) with -75.46%, Oil & Gas Equipment & Services (3) with -18.97% and Health Care Supplies (2) with -8.72%.
Over the past month, the best performers were: Consumer Finance with 32.58%, Interactive Home Entertainment (3) with 17.03% and Transportation - Air Freight & Logistics with 14.78%; the worst: Transportation - Road & Rail - Trucking (4) with -78.08%, Metals & Mining - Steel (3) with -44.2% and Oil & Gas Equipment & Services (3) with -12.83%.
For the past year, the best performers were: Aerospace & Defense (10) with 51.54%, Health Care Technology with 46.99% and Building Products (4) with 45.92%; the worst: Electrical Components & Equipment (2) with -49.64%, Metals & Mining - Steel (3) with -49.13% and Transportation - Road & Rail - Trucking (4) with -45.74%.
New highs and lows
One-year high (8) : Chemring Group PLC, Coca Cola HBC AG, HomeServe PLC, Micro Focus International PLC, Redcentric, Hilton Food Group Plc, Bakkavor Group PLC and Quilter PLC
All-time low (2) : Coro Energy PLC and Petrofac Ltd
One-year low (2) : TCS Group Holding PLC and Aston Martin Lagonda Global Holdings PLC
Australia: The 302 stocks analysed are 49.34% long and ended the trading day with a weighted daily change of -1.56% and a weekly change of -1.49%.
There are 3 new sell (Brickworks Ltd, Super Retail Group Ltd and Washington H Soul Pattinson&Co Ltd). With the new changes, long positions will decrease by 0.99%.
There are no changes in the AIndexes.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 22.19% of the total and a change of 0.09%, followed by the "Lack" group accounting for 44.37% and a change of -1.92% and the "Value" group accounting for 33.44% and a change of -2.27%.
The change in the top 3 stock categories on 1st May are Biotechnology (8) with 1.15%, Alternative Carriers with 1.14% and Coal & Consumable Fuels (4) with 0.65%; at the bottom are Consumer Finance with -6.27%, Metals & Mining - Gold (22) with -3.94% and Homefurnishing Retail (2) with -3.54%.
In the last week, the best performers were: Health Care Equipment (4) with 5.81%, Biotechnology (8) with 3.59% and Homefurnishing Retail (2) with 2.69%; the worst: Internet & Direct Marketing Retail (4) with -11.41%, Oil & Gas Refining & Marketing (2) with -7.98% and Pharmaceuticals (9) with -7.81%.
Over the past month, the best performers were: Biotechnology (8) with 16.13%, Aerospace & Defense (3) with 9.24% and Transportation - Airlines (2) with 6.32%; the worst: Consumer Finance with -25.6%, Real Estate Development with -18.63% and Internet & Direct Marketing Retail (4) with -18.08%.
For the past year, the best performers were: Data Processing & Outsourced Services (8) with 263.36%, Aerospace & Defense (3) with 135.91% and Internet Services & Infrastructure (2) with 108.25%; the worst: IT Consulting & Other Services with -40.8%, Consumer Finance with -39.19% and Health Care Services (3) with -34.28%.
New highs and lows
All-time high : Tassal Group Ltd
One-year high (7) : OZ Minerals Ltd, Sydney Airport Limited, Crown Ltd, United Malt Group Ltd, Adbri Ltd, Link Administration Hldg Ltd and Western Areas Ltd
All-time low (6) : Roto-Gro International Limited, Stavely Minerals Ltd, Starpharma Holdings Ltd, Jervois Mining Ltd, Dubber Corp Ltd and Star Entertainment Group Ltd
One-year low (11) : GTI Resources Ltd, Medical Developments International, PPK Group Ltd, Andromeda Metals Ltd, Omni Bridgeway Ltd, Core Lithium Ltd, Sayona Mining Ltd, Zip Co Limited, Afterpay Limited, Woodside Energy Group Ltd and Nine Entertainment Co Holdings
Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 1st May are Biotechnology (8) with 1.15%, Alternative Carriers with 1.14% and Coal & Consumable Fuels (4) with 0.65%; at the bottom are Consumer Finance with -6.27%, Metals & Mining - Gold (22) with -3.94% and Homefurnishing Retail (2) with -3.54%.
In the last week, the best performers were: Health Care Equipment (4) with 5.81%, Biotechnology (8) with 3.59% and Homefurnishing Retail (2) with 2.69%; the worst: Internet & Direct Marketing Retail (4) with -11.41%, Oil & Gas Refining & Marketing (2) with -7.98% and Pharmaceuticals (9) with -7.81%.
Over the past month, the best performers were: Biotechnology (8) with 16.13%, Aerospace & Defense (3) with 9.24% and Transportation - Airlines (2) with 6.32%; the worst: Consumer Finance with -25.6%, Real Estate Development with -18.63% and Internet & Direct Marketing Retail (4) with -18.08%.
For the past year, the best performers were: Data Processing & Outsourced Services (8) with 263.36%, Aerospace & Defense (3) with 135.91% and Internet Services & Infrastructure (2) with 108.25%; the worst: IT Consulting & Other Services with -40.8%, Consumer Finance with -39.19% and Health Care Services (3) with -34.28%.
New highs and lows
One-year high (7) : OZ Minerals Ltd, Sydney Airport Limited, Crown Ltd, United Malt Group Ltd, Adbri Ltd, Link Administration Hldg Ltd and Western Areas Ltd
All-time low (6) : Roto-Gro International Limited, Stavely Minerals Ltd, Starpharma Holdings Ltd, Jervois Mining Ltd, Dubber Corp Ltd and Star Entertainment Group Ltd
One-year low (11) : GTI Resources Ltd, Medical Developments International, PPK Group Ltd, Andromeda Metals Ltd, Omni Bridgeway Ltd, Core Lithium Ltd, Sayona Mining Ltd, Zip Co Limited, Afterpay Limited, Woodside Energy Group Ltd and Nine Entertainment Co Holdings
Canada: The 260 stocks analysed are 55% long and ended the trading day with a weighted daily change of 0.08% and a weekly change of -0.25%.
There is one new sell (Canadian Pacific Railway Ltd). With the new changes, long positions will decrease by 0.38%.
There are also changes in the AIndexes: exits in Metals & Mining - L10.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 40% of the total and a change of 0.32%, followed by the "Value" group accounting for 33.08% and a change of 0.01% and the "Growth" group accounting for 26.92% and a change of -1.03%.
The change in the top 3 stock categories on 1st May are Renewable Electricity (5) with 4.14%, Coal & Consumable Fuels (3) with 2.7% and Forest Products (6) with 1.43%; at the bottom are Pharmaceuticals (10) with -8%, Construction Machinery & Heavy Trucks with -2.52% and General Merchandise Stores (2) with -2.5%.
In the last week, the best performers were: Metals & Mining - Copper (4) with 5.48%, Pharmaceuticals (10) with 4.06% and Renewable Electricity (5) with 3.81%; the worst: Transportation - Road & Rail - Trucking (2) with -8.76%, Application Software (12) with -4.11% and Integrated Oil & Gas (3) with -3.95%.
Over the past month, the best performers were: Pharmaceuticals (10) with 59.31%, Metals & Mining - Precious Metals & Minerals (5) with 14.79% and Consumer Finance (2) with 10.51%; the worst: Transportation - Road & Rail - Trucking (2) with -15.79%, Construction Machinery & Heavy Trucks with -13.92% and Leisure Products (2) with -9.63%.
For the past year, the best performers were: Pharmaceuticals (10) with 355.76%, Construction Machinery & Heavy Trucks with 270% and Coal & Consumable Fuels (3) with 101.61%; the worst: Office REITs (2) with -27.11%, Renewable Electricity (5) with -26.81% and Integrated Telecommunication Services (2) with -19.72%.
New highs and lows
All-time high (4) : Artemis Gold Inc, Descartes Systems Group Inc, Shaw Communications Inc and Primo Water Corp
One-year high (8) : goeasy Ltd, Turquoise Hill Resources Ltd., SilverCrest Metals Inc, Tricon Capital Group Inc, Home Capital Group Inc., Summit Industrial Income REIT, New Gold Inc and Sienna Senior Living Inc
All-time low (2) : Great Panther Mining Ltd and Corus Entertainment Inc
One-year low (5) : Canada Silver Cobalt Works Inc, Marathon Gold Corporation, Spin Master Corp, HIVE Blockchain Technologies Ltd and Capital Power Corporation
Signals
There are also changes in the AIndexes: exits in Metals & Mining - L10.
Ranking
The change in the top 3 stock categories on 1st May are Renewable Electricity (5) with 4.14%, Coal & Consumable Fuels (3) with 2.7% and Forest Products (6) with 1.43%; at the bottom are Pharmaceuticals (10) with -8%, Construction Machinery & Heavy Trucks with -2.52% and General Merchandise Stores (2) with -2.5%.
In the last week, the best performers were: Metals & Mining - Copper (4) with 5.48%, Pharmaceuticals (10) with 4.06% and Renewable Electricity (5) with 3.81%; the worst: Transportation - Road & Rail - Trucking (2) with -8.76%, Application Software (12) with -4.11% and Integrated Oil & Gas (3) with -3.95%.
Over the past month, the best performers were: Pharmaceuticals (10) with 59.31%, Metals & Mining - Precious Metals & Minerals (5) with 14.79% and Consumer Finance (2) with 10.51%; the worst: Transportation - Road & Rail - Trucking (2) with -15.79%, Construction Machinery & Heavy Trucks with -13.92% and Leisure Products (2) with -9.63%.
For the past year, the best performers were: Pharmaceuticals (10) with 355.76%, Construction Machinery & Heavy Trucks with 270% and Coal & Consumable Fuels (3) with 101.61%; the worst: Office REITs (2) with -27.11%, Renewable Electricity (5) with -26.81% and Integrated Telecommunication Services (2) with -19.72%.
New highs and lows
One-year high (8) : goeasy Ltd, Turquoise Hill Resources Ltd., SilverCrest Metals Inc, Tricon Capital Group Inc, Home Capital Group Inc., Summit Industrial Income REIT, New Gold Inc and Sienna Senior Living Inc
All-time low (2) : Great Panther Mining Ltd and Corus Entertainment Inc
One-year low (5) : Canada Silver Cobalt Works Inc, Marathon Gold Corporation, Spin Master Corp, HIVE Blockchain Technologies Ltd and Capital Power Corporation
Denmark: The 94 stocks analysed are 47.87% long and ended the trading day with a weighted daily change of -0.42% and a weekly change of 0.5%.
There is one new buy (North Media A/S) and 2 new sell (Coloplast A/S and Skjern Bank A/S). With the new changes, long positions will decrease by 1.06%.
There are also changes in the AIndexes: exits in Denmark - L40.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 37.23% of the total and a change of 0.73%, followed by the "Value" group accounting for 25.53% and a change of 0.38% and the "Growth" group accounting for 37.23% and a change of 0.36%.
The change in the top 3 stock categories on 1st May are Regional Banks (14) with 0.84%, Specialty Chemicals with 0.7% and Leisure Facilities (4) with 0.61%; at the bottom are Health Care Equipment (3) with -2.61%, Commodity Chemicals with -2.54% and Electrical Components & Equipment (2) with -2.2%.
In the last week, the best performers were: Trading Companies & Distributors (3) with 2.97%, Transportation - Road & Rail - Trucking (2) with 2.96% and Pharmaceuticals with 2.81%; the worst: Application Software (3) with -5.06%, Transportation - Air Freight & Logistics with -2.29% and Health Care Equipment (3) with -1.72%.
Over the past month, the best performers were: Food / Beverage & Tobacco - Brewers (3) with 12.55%, Movies & Entertainment (2) with 5.82% and Consumer Electronics (3) with 5.36%; the worst: Pharmaceuticals with -24.9%, Application Software (3) with -11.26% and Transportation - Air Freight & Logistics with -8.92%.
For the past year, the best performers were: Biotechnology (5) with 8531.26%, Application Software (3) with 58.32% and Electrical Components & Equipment (2) with 57.22%; the worst: Transportation - Road & Rail - Trucking (2) with -37.61%, Communications Equipment (2) with -32.91% and Transportation - Marine (4) with -29.96%.
New highs and lows
All-time high (2) : Skjern Bank A/S and Totalbanken A/S
One-year high (2) : Novozymes A/S and Broendbyernes IF Fodbold AS
One-year low : Rovsing A/S
Signals
There are also changes in the AIndexes: exits in Denmark - L40.
Ranking
The change in the top 3 stock categories on 1st May are Regional Banks (14) with 0.84%, Specialty Chemicals with 0.7% and Leisure Facilities (4) with 0.61%; at the bottom are Health Care Equipment (3) with -2.61%, Commodity Chemicals with -2.54% and Electrical Components & Equipment (2) with -2.2%.
In the last week, the best performers were: Trading Companies & Distributors (3) with 2.97%, Transportation - Road & Rail - Trucking (2) with 2.96% and Pharmaceuticals with 2.81%; the worst: Application Software (3) with -5.06%, Transportation - Air Freight & Logistics with -2.29% and Health Care Equipment (3) with -1.72%.
Over the past month, the best performers were: Food / Beverage & Tobacco - Brewers (3) with 12.55%, Movies & Entertainment (2) with 5.82% and Consumer Electronics (3) with 5.36%; the worst: Pharmaceuticals with -24.9%, Application Software (3) with -11.26% and Transportation - Air Freight & Logistics with -8.92%.
For the past year, the best performers were: Biotechnology (5) with 8531.26%, Application Software (3) with 58.32% and Electrical Components & Equipment (2) with 57.22%; the worst: Transportation - Road & Rail - Trucking (2) with -37.61%, Communications Equipment (2) with -32.91% and Transportation - Marine (4) with -29.96%.
New highs and lows
One-year high (2) : Novozymes A/S and Broendbyernes IF Fodbold AS
One-year low : Rovsing A/S
The 2846 Stock analysed are 49.26% long and ended the trading day with a weighted daily change of -0.03% and a weekly change of -0.36%.
There are 9 new buys (Astronics Corporation, Chemed Corp, Immunitybio Inc, Ingevity Corp, Liveramp Holdings Inc, North Media A/S, Oxford Instruments PLC, Powell Industries Inc and Y mAbs Therapeutics) and 23 new sell (Accolade Inc, Astec Industries Inc, Brickworks Ltd, CDW Corp, CVR Energy Inc, Canadian Pacific Railway Ltd, Carlyle Group Inc, Carpenter Technology Corporation, Coloplast A/S, Dupont De Nemours Inc, EnLink Midstream LLC, Garmin Ltd, Halliburton Company, Learning Technologies Group plc, Pinterest Inc, Plains All American Pipeline LP, Ryerson Holding Corp, Skjern Bank A/S, Skyworks Solutions Inc, Starbucks Corporation, Super Retail Group Ltd, Washington H Soul Pattinson&Co Ltd and Xencor Inc). With the new changes, long positions will decrease by 0.49%.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 45.96% of the total and a change of -0.05%, followed by the "Value" group accounting for 29.59% and a change of -0.35% and the "Growth" group accounting for 24.46% and a change of -0.76%.
The change in the top 3 Stock categories on 1st May are Education Services (38) with 27.42%, Application Software (160) with 18.95% and Asset Management & Custody Banks (136) with 8.17%; at the bottom are Transportation - Highways & Railtracks (12) with -4.12%, Home Furnishings (14) with -2.81% and Transportation - Marine (33) with -2.42%.
In the last week, the best performers were: Motorcycle Manufacturers (8) with 105.47%, Education Services (38) with 27.99% and Oil & Gas Exploration & Production (84) with 27%; the worst: Transportation - Road & Rail - Trucking (27) with -12.77%, Oil & Gas Equipment & Services (27) with -4.49% and Oil & Gas Refining & Marketing (32) with -4.15%.
Over the past month, the best performers were: Motorcycle Manufacturers (8) with 52.81%, Health Care Equipment (88) with 42.82% and Education Services (38) with 26.2%; the worst: Transportation - Road & Rail - Trucking (27) with -17.53%, Apparel Retail (25) with -8.9% and Oil & Gas Refining & Marketing (32) with -7.72%.
For the past year, the best performers were: Biotechnology (303) with 276.62%, Data Processing & Outsourced Services (31) with 65.26% and Automotive Retail (22) with 63.42%; the worst: Real Estate Development (74) with -43.95%, Metals & Mining - Precious Metals & Minerals (9) with -32.73% and Food & Staples Retailing - Drug Retail (6) with -31.35%.
New highs and lows
All-time high (105) : Plus500 Ltd, Kongsberg Gruppen ASA, Lotus Bakeries, Atlas Copco AB Series A, Watsco Inc, ABB Ltd, AstraZeneca PLC ADR, Vistra Energy Corp, Seagen Inc, Alfa Laval AB, Banca Popolare di Sondrio S.p.A., Dbs Group Holdings Ltd, CNOOC Ltd, UCB SA, Leidos Holdings Inc, China Shenhua Energy Co Ltd H, SOL S.p.A, Skjern Bank A/S, MedCap AB (publ), Trelleborg AB (publ), Mutares SE & Co. KGaA, Bank of Communications Co Ltd, Goldman Sachs Group Inc, HSBC Holdings PLC, Artemis Gold Inc, CACI International Inc, Nordnet AB, CSW Industrials Inc, Descartes Systems Group Inc, Bankinter, Banco di Desio e della Brianza S.p.A., ...
One-year high (167) : d Amico International Shipping S.A, BOC Hong Kong Holdings Ltd, Horizon Pharma PLC, Tele2 AB (publ), Golden Ocean Group Ltd, SITC International Holdings Co Ltd, Amorepacific, BPER Banca SpA, Deutsche Post AG, Banco de Sabadell S.A, Chemring Group PLC, China Hongqiao Group Ltd, TAG Immobilien AG, Gree Electric Appliances Inc of Zhuhai, Coca Cola HBC AG, Novozymes A/S, NN Group NV, COSCO SHIPPING Holdings Co Ltd, Eramet SA, Unipol Gruppo S.p.A., Compagnie Generale des Etablissements Michelin SCA, Telefonica, Southern Company, Splunk Inc, Telenor ASA, Kunlun Energy, Duke Energy Corporation, Banca IFIS, Pirelli & C SPA, Hera S.p.A, Evonik Industries AG, ...
All-time low (44) : Roto-Gro International Limited, Stavely Minerals Ltd, Sol Gel Technologies Ltd, Coro Energy PLC, Softec, Pluristem, Unique Fabricating Inc, Oxley Holdings Limited, Great Panther Mining Ltd, AYRO Inc, Blackstone Resources AG, FSD Pharma Inc Class B, Starpharma Holdings Ltd, Gequity SpA, ePRICE S.p.A., KI Group, Jervois Mining Ltd, Upland Software Inc, Eagle Pharmaceuticals Inc, Dubber Corp Ltd, Gamida Cell Ltd, Corus Entertainment Inc, Avaya Holdings Corp, Leoni Ag, Adler Group SA, Codere S.A, Eos Energy Enterprises Inc, PetMed Express Inc, Oriola-KD Oyj B, Shinsun Holdings Group Co Ltd, Cerence Inc, ...
One-year low (67) : Canada Silver Cobalt Works Inc, GTI Resources Ltd, NVP S.p.A, S H L Telemedicine Ltd, Fos SpA, Medical Developments International, Perfect Holding SA, Rovsing A/S, Honbridge Holdings Ltd, PPK Group Ltd, TherapeuticsMD Inc, Destination XL Group Inc, Boston Omaha Corporation, Andromeda Metals Ltd, Neenah Paper Inc, Meinian Onehealth Healthcare Holdings Co Ltd, Marathon Gold Corporation, Fingerprint Cards AB (publ), Glarner Kantonalbank, W&T Offshore Inc, Galapagos NV ADR, Omni Bridgeway Ltd, Ryerson Holding Corp, SK IE Technology Co Ltd, Oma Saastopankki Oyj, Core Lithium Ltd, Spin Master Corp, PIERER Mobility AG, TCS Group Holding PLC, CapitaLand Retail China Trust (, Allegiant Travel Company, ...
Signals
Ranking
The change in the top 3 Stock categories on 1st May are Education Services (38) with 27.42%, Application Software (160) with 18.95% and Asset Management & Custody Banks (136) with 8.17%; at the bottom are Transportation - Highways & Railtracks (12) with -4.12%, Home Furnishings (14) with -2.81% and Transportation - Marine (33) with -2.42%.
In the last week, the best performers were: Motorcycle Manufacturers (8) with 105.47%, Education Services (38) with 27.99% and Oil & Gas Exploration & Production (84) with 27%; the worst: Transportation - Road & Rail - Trucking (27) with -12.77%, Oil & Gas Equipment & Services (27) with -4.49% and Oil & Gas Refining & Marketing (32) with -4.15%.
Over the past month, the best performers were: Motorcycle Manufacturers (8) with 52.81%, Health Care Equipment (88) with 42.82% and Education Services (38) with 26.2%; the worst: Transportation - Road & Rail - Trucking (27) with -17.53%, Apparel Retail (25) with -8.9% and Oil & Gas Refining & Marketing (32) with -7.72%.
For the past year, the best performers were: Biotechnology (303) with 276.62%, Data Processing & Outsourced Services (31) with 65.26% and Automotive Retail (22) with 63.42%; the worst: Real Estate Development (74) with -43.95%, Metals & Mining - Precious Metals & Minerals (9) with -32.73% and Food & Staples Retailing - Drug Retail (6) with -31.35%.
New highs and lows
One-year high (167) : d Amico International Shipping S.A, BOC Hong Kong Holdings Ltd, Horizon Pharma PLC, Tele2 AB (publ), Golden Ocean Group Ltd, SITC International Holdings Co Ltd, Amorepacific, BPER Banca SpA, Deutsche Post AG, Banco de Sabadell S.A, Chemring Group PLC, China Hongqiao Group Ltd, TAG Immobilien AG, Gree Electric Appliances Inc of Zhuhai, Coca Cola HBC AG, Novozymes A/S, NN Group NV, COSCO SHIPPING Holdings Co Ltd, Eramet SA, Unipol Gruppo S.p.A., Compagnie Generale des Etablissements Michelin SCA, Telefonica, Southern Company, Splunk Inc, Telenor ASA, Kunlun Energy, Duke Energy Corporation, Banca IFIS, Pirelli & C SPA, Hera S.p.A, Evonik Industries AG, ...
All-time low (44) : Roto-Gro International Limited, Stavely Minerals Ltd, Sol Gel Technologies Ltd, Coro Energy PLC, Softec, Pluristem, Unique Fabricating Inc, Oxley Holdings Limited, Great Panther Mining Ltd, AYRO Inc, Blackstone Resources AG, FSD Pharma Inc Class B, Starpharma Holdings Ltd, Gequity SpA, ePRICE S.p.A., KI Group, Jervois Mining Ltd, Upland Software Inc, Eagle Pharmaceuticals Inc, Dubber Corp Ltd, Gamida Cell Ltd, Corus Entertainment Inc, Avaya Holdings Corp, Leoni Ag, Adler Group SA, Codere S.A, Eos Energy Enterprises Inc, PetMed Express Inc, Oriola-KD Oyj B, Shinsun Holdings Group Co Ltd, Cerence Inc, ...
One-year low (67) : Canada Silver Cobalt Works Inc, GTI Resources Ltd, NVP S.p.A, S H L Telemedicine Ltd, Fos SpA, Medical Developments International, Perfect Holding SA, Rovsing A/S, Honbridge Holdings Ltd, PPK Group Ltd, TherapeuticsMD Inc, Destination XL Group Inc, Boston Omaha Corporation, Andromeda Metals Ltd, Neenah Paper Inc, Meinian Onehealth Healthcare Holdings Co Ltd, Marathon Gold Corporation, Fingerprint Cards AB (publ), Glarner Kantonalbank, W&T Offshore Inc, Galapagos NV ADR, Omni Bridgeway Ltd, Ryerson Holding Corp, SK IE Technology Co Ltd, Oma Saastopankki Oyj, Core Lithium Ltd, Spin Master Corp, PIERER Mobility AG, TCS Group Holding PLC, CapitaLand Retail China Trust (, Allegiant Travel Company, ...
The 990 Etf analysed are 71.11% long and ended the trading day with a weighted daily change of -0.38% and a weekly change of -0.56%.
There are 2 new sell (Amundi S&P Global Luxury and iShares Edge MSCI USA Value Factor). With the new changes, long positions will decrease by 0.2%.
Etfs ranked by performance class had the best weekly returns with the "Value" group accounting for 49.09% of the total and a change of -0.26%, followed by the "Lack" group accounting for 21.11% and a change of -0.6% and the "Growth" group accounting for 29.8% and a change of -0.96%.
The change in the top 3 Etf categories on 1st May are Equity Thematic (10) with 20.07%, Short-Commodity Precious Metals (4) with 2.4% and Equity Thematic Biotechnology (6) with 1.27%; at the bottom are Equity Russia with -3.64%, Equity Thematic Cannabis with -1.74% and Equity Pakistan (2) with -1.58%.
In the last week, the best performers were: Equity Thematic (10) with 20.51%, Equity Turkey (8) with 4.62% and Equity Hong Kong (2) with 4.08%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -25.31% and Equity Eastern Europe with -16.94%.
Over the past month, the best performers were: Equity Thematic (10) with 16.15%, Equity Turkey (8) with 12.02% and Commodity Industrial Metals (19) with 11.73%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -19.19% and Short-Commodity Industrial Metals (3) with -10.54%.
For the past year, the best performers were: Fixed Income Corporate (104) with 135.84%, Commodity Agriculture (28) with 74.46% and Equity Pakistan (2) with 64.24%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -56.13% and Equity Thematic Cannabis with -40.78%.
New highs and lows
All-time high (54) : Aberdeen New India Investment Trust Plc, iShares MSCI India, Amundi MSCI Nordic, Xtrackers Euro Stoxx 50, Lyxor MSCI India, Lyxor Euro Overnight Return, Lyxor MSCI India, Lyxor Smart Cash, Xtrackers II Overnight Rate Swap, Xtrackers II Overnight Rate Swap, Amundi Floating Rate EURO Corporate 1-3, iShares Core FTSE 100, iShares Usd Ultrashort Bond, Xtrackers II Overnight Rate Swap, iShares Usd Floating Rate Bond, SPDR MSCI Europe Small Value Weighted, Lyxor PEA Inde (MSCI India), Xtrackers II Overnight Rate Swap, Lyxor Core Morningstar UK NT, SPDR MSCI Emerging Markets Small, iShares VII PLC iShares FTSE 100, UBS MSCI United Kingdom, Amundi Floating Rate EURO Corporate 1-3, Xtrackers MSCI India Swap, Xtrackers Nifty 50 Swap, Vanguard FTSE 100, iShares Core FTSE 100 Hedged, iShares MSCI EM Small, iShares Asia Pacific Dividend, Amundi MSCI India, iShares VII PLC iShares MSCI UK, ...
One-year high (67) : WisdomTree Copper, iShares Core MSCI EM IMI, iShares Global Water, iShares IV Public Limited Company iShares MSCI EM IMI ESG Screened, Amundi MSCI Emerging Markets, SPDR MSCI EM Asia, iShares Core MSCI EM IMI, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Utilities Select Sector SPDR Fund, Xtrackers MSCI Emerging Markets, Hsbc Ftse 100, iShares Global Water, Xtrackers Stoxx Global Select Dividend 100 Swap, Amundi Index MSCI Emerging Markets, Amundi MSCI Em Asia, iShares EM Dividend, Vanguard FTSE Emerging Markets Distributing, iShares MSCI EM, PIMCO Sterling Short Maturity, Lyxor MSCI Emerging Markets, WisdomTree Copper Daily Hedged, iShares STOXX Europe Select Dividend 30, iShares MSCI EM IMI ESG Screened, Vanguard FTSE Emerging Markets, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Lyxor MSCI AC Asia Pacific Ex Japan, Lyxor MSCI Turkey, Multi Units Luxembourg Lyxor MSCI Emerging Markets Asia Fund, Xtrackers MSCI Emerging Markets Swap, iShares Core MSCI Emerging Markets IMI UCITS, Amundi MSCI EM Asia, ...
All-time low (17) : Xtrackers II - Japan Government Bond UCITS ETF, iShares MSCI Eastern Europe Capped, Lyxor MSCI Russia, 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, WisdomTree Long JPY Short, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, MULTI UNITS LUXEMBOURG Lyxor Euro Government Bond, Lyxor MSCI Russia, Lyxor S&P 500 VIX Futures Enhanced Roll and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (5) : Invesco RDX, WisdomTree Copper 1x Daily Short, WisdomTree Cotton, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF and Lyxor MSCI AC Asia Pacific Ex Japan
Signals
Ranking
The change in the top 3 Etf categories on 1st May are Equity Thematic (10) with 20.07%, Short-Commodity Precious Metals (4) with 2.4% and Equity Thematic Biotechnology (6) with 1.27%; at the bottom are Equity Russia with -3.64%, Equity Thematic Cannabis with -1.74% and Equity Pakistan (2) with -1.58%.
In the last week, the best performers were: Equity Thematic (10) with 20.51%, Equity Turkey (8) with 4.62% and Equity Hong Kong (2) with 4.08%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -25.31% and Equity Eastern Europe with -16.94%.
Over the past month, the best performers were: Equity Thematic (10) with 16.15%, Equity Turkey (8) with 12.02% and Commodity Industrial Metals (19) with 11.73%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -19.19% and Short-Commodity Industrial Metals (3) with -10.54%.
For the past year, the best performers were: Fixed Income Corporate (104) with 135.84%, Commodity Agriculture (28) with 74.46% and Equity Pakistan (2) with 64.24%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -56.13% and Equity Thematic Cannabis with -40.78%.
New highs and lows
One-year high (67) : WisdomTree Copper, iShares Core MSCI EM IMI, iShares Global Water, iShares IV Public Limited Company iShares MSCI EM IMI ESG Screened, Amundi MSCI Emerging Markets, SPDR MSCI EM Asia, iShares Core MSCI EM IMI, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Utilities Select Sector SPDR Fund, Xtrackers MSCI Emerging Markets, Hsbc Ftse 100, iShares Global Water, Xtrackers Stoxx Global Select Dividend 100 Swap, Amundi Index MSCI Emerging Markets, Amundi MSCI Em Asia, iShares EM Dividend, Vanguard FTSE Emerging Markets Distributing, iShares MSCI EM, PIMCO Sterling Short Maturity, Lyxor MSCI Emerging Markets, WisdomTree Copper Daily Hedged, iShares STOXX Europe Select Dividend 30, iShares MSCI EM IMI ESG Screened, Vanguard FTSE Emerging Markets, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Lyxor MSCI AC Asia Pacific Ex Japan, Lyxor MSCI Turkey, Multi Units Luxembourg Lyxor MSCI Emerging Markets Asia Fund, Xtrackers MSCI Emerging Markets Swap, iShares Core MSCI Emerging Markets IMI UCITS, Amundi MSCI EM Asia, ...
All-time low (17) : Xtrackers II - Japan Government Bond UCITS ETF, iShares MSCI Eastern Europe Capped, Lyxor MSCI Russia, 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, WisdomTree Long JPY Short, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, MULTI UNITS LUXEMBOURG Lyxor Euro Government Bond, Lyxor MSCI Russia, Lyxor S&P 500 VIX Futures Enhanced Roll and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (5) : Invesco RDX, WisdomTree Copper 1x Daily Short, WisdomTree Cotton, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF and Lyxor MSCI AC Asia Pacific Ex Japan
The 220 AIndex analysed are 65.91% long and ended the trading day with a weighted daily change of -0.17% and a weekly change of -0.17%.
There is one new sell (AIndex S&P 500 + Nasdaq 100 - L20). With the new changes, long positions will decrease by 0.45%.
There are also changes in the AIndexes: replacements in Biotechnology - L40, Genomic Revolution - L20 / L40, Health Care Equipment & Supplies - L40, Machinery - L10 / L20 / L40, Nasdaq Biotechnology - L40, Semiconductors & Semiconductor Equipment - L20 / L40, Stock EUR + USD Mix 50 / x 70, Stock USD Mix 20 / x 25 / x 40 and Stock USD Value - L10; new entries in Anti-Pandemic - L10 / L20, Biotechnology - L20, Building Products - L20, Cyber Security - L20, Funds OM EUR Risk 2/5 - L10, Funds OM EUR Risk 3/6 - L10, Genomic Revolution - L10, Italy PIR - Mid - L10 / L20, Italy PIR 30, London - L40, Netherlands - L20, Personal Products - L10, Pharmaceuticals - L20 / L40, Professional Services - L10 / L20, Road & Rail - L10 / L20, STOXX Europe 600 - EUR - L40, STOXX Europe 600 - Nordic - L40, Semiconductors & Semiconductor Equipment - L10, Stock USD + Etf Mix 60, Stock USD Value - L20, Video Game & eSport - L10 / L20 and World ESG Leader - L40; exits in Banks - L10 / L40, Beverages - L10 / L20, Biotechnology - L10, Capital Markets - L10 / L20 / L40, Construction & Engineering - L40, Crypto - BitStamp - L10, Crypto - Revolut - L10, Crypto - Top - L20, Deglobalization (Basic resources) - L10 / L40, Denmark - L40, Electronic Equipment Instruments & Components - L40, Energy Equipment & Services - L20, Etf USD Growth - L20 / L40, Food & Staples Retailing - L20, Future Mobility - L10 / L40, Global Conflict - L40, Hong Kong - L40, Hotels Restaurants & Leisure - L20 / L40, Interactive Media & Services - L20, Listed Private Equity - L40, Marine - L20, Media - L10 / L20 / L40, Metals & Mining - L10, NASDAQ 100 - L40, Nasdaq Biotechnology - L20, Oil Gas & Consumable Fuels - L40, Printing 3D - L20, Robotics & Artificial Intelligence - L40, S&P 500 + Nasdaq 100 - L10 / L20 / L40, S&P 500 - L20 / L40, Shipping - L10 / L20, Software - L20 / L40, Space Innovation - L20, Spain - L20 / L40, Stock EUR + USD Mix 60, Stock EUR Growth - L20, Stock EUR Mix 40 / x 60, Stock EUR Value - L40, Stock USD Growth - L40, Technology Hardware Storage & Peripherals - L20, US Large Cap ESG - L10 and World ESG Leader - L10.
New highs and lows
All-time high (2) : AIndex Aerospace & Defense - L20 and AIndex Marine - L10
One-year high (5) : AIndex Shipping - L20, AIndex Shipping - L10, AIndex Household Durables - L20, AIndex Marine - L20 and AIndex Hong Kong China Enterprises - L10
One-year low : AIndex Inflation Beneficiaries - L20
Signals
There are also changes in the AIndexes: replacements in Biotechnology - L40, Genomic Revolution - L20 / L40, Health Care Equipment & Supplies - L40, Machinery - L10 / L20 / L40, Nasdaq Biotechnology - L40, Semiconductors & Semiconductor Equipment - L20 / L40, Stock EUR + USD Mix 50 / x 70, Stock USD Mix 20 / x 25 / x 40 and Stock USD Value - L10; new entries in Anti-Pandemic - L10 / L20, Biotechnology - L20, Building Products - L20, Cyber Security - L20, Funds OM EUR Risk 2/5 - L10, Funds OM EUR Risk 3/6 - L10, Genomic Revolution - L10, Italy PIR - Mid - L10 / L20, Italy PIR 30, London - L40, Netherlands - L20, Personal Products - L10, Pharmaceuticals - L20 / L40, Professional Services - L10 / L20, Road & Rail - L10 / L20, STOXX Europe 600 - EUR - L40, STOXX Europe 600 - Nordic - L40, Semiconductors & Semiconductor Equipment - L10, Stock USD + Etf Mix 60, Stock USD Value - L20, Video Game & eSport - L10 / L20 and World ESG Leader - L40; exits in Banks - L10 / L40, Beverages - L10 / L20, Biotechnology - L10, Capital Markets - L10 / L20 / L40, Construction & Engineering - L40, Crypto - BitStamp - L10, Crypto - Revolut - L10, Crypto - Top - L20, Deglobalization (Basic resources) - L10 / L40, Denmark - L40, Electronic Equipment Instruments & Components - L40, Energy Equipment & Services - L20, Etf USD Growth - L20 / L40, Food & Staples Retailing - L20, Future Mobility - L10 / L40, Global Conflict - L40, Hong Kong - L40, Hotels Restaurants & Leisure - L20 / L40, Interactive Media & Services - L20, Listed Private Equity - L40, Marine - L20, Media - L10 / L20 / L40, Metals & Mining - L10, NASDAQ 100 - L40, Nasdaq Biotechnology - L20, Oil Gas & Consumable Fuels - L40, Printing 3D - L20, Robotics & Artificial Intelligence - L40, S&P 500 + Nasdaq 100 - L10 / L20 / L40, S&P 500 - L20 / L40, Shipping - L10 / L20, Software - L20 / L40, Space Innovation - L20, Spain - L20 / L40, Stock EUR + USD Mix 60, Stock EUR Growth - L20, Stock EUR Mix 40 / x 60, Stock EUR Value - L40, Stock USD Growth - L40, Technology Hardware Storage & Peripherals - L20, US Large Cap ESG - L10 and World ESG Leader - L10.
New highs and lows
One-year high (5) : AIndex Shipping - L20, AIndex Shipping - L10, AIndex Household Durables - L20, AIndex Marine - L20 and AIndex Hong Kong China Enterprises - L10
One-year low : AIndex Inflation Beneficiaries - L20
The 86 Crypto analysed are 38.37% long and ended the trading day with a weighted daily change of 1.36% and a weekly change of -5.38%.
There are 3 new sell (Bitcoin, NEO and PancakeSwap). With the new changes, long positions will decrease by 3.49%.
Cryptos ranked by performance class had the best weekly returns with the "Lack" group accounting for 60.47% of the total and a change of -3.9%, followed by the "Growth" group accounting for 13.95% and a change of -6.46% and the "Value" group accounting for 25.58% and a change of -7.72%.
The change in the top 3 Crypto categories on 1st May are Generic - Not Mineable (17) with 6.15%, Privacy - Mineable (4) with 2.94% and Solana Ecosystem - Not Mineable (2) with 2.88%; at the bottom are Store of Value - Mineable (2) with -3.57%, Generic - Mineable (4) with -0.34% and Distributed Computing - Mineable (3) with -0.33%.
In the last week, the best performers were: Generic - Not Mineable (17) with -0.34%, Content Creation - Not Mineable (2) with -1.18% and Privacy - Mineable (4) with -1.3%; the worst: Generic - Mineable (4) with -10.42%, Collectibles & NFTs - Not Mineable (4) with -9.59% and Store of Value - Mineable (2) with -9.06%.
Over the past month, the best performers were: Centralized Exchange - Not Mineable (5) with -9.53%, Content Creation - Not Mineable (2) with -14.07% and Privacy - Mineable (4) with -16.25%; the worst: Distributed Computing - Mineable (3) with -31.89%, Decentralized Finance (DeFi) - Not Mineable (9) with -30.54% and Collectibles & NFTs - Not Mineable (4) with -30.46%.
For the past year, the best performers were: Solana Ecosystem - Not Mineable (2) with 211.4%, Generic (4) with 95.11% and Store of Value - Mineable (2) with 88.16%; the worst: Privacy - Mineable (4) with -16.67%, Distributed Computing - Not Mineable with 28.63% and Generic - Not Mineable (17) with 40.27%.
We note that Maker has made a new One-year low.
Signals
Ranking
The change in the top 3 Crypto categories on 1st May are Generic - Not Mineable (17) with 6.15%, Privacy - Mineable (4) with 2.94% and Solana Ecosystem - Not Mineable (2) with 2.88%; at the bottom are Store of Value - Mineable (2) with -3.57%, Generic - Mineable (4) with -0.34% and Distributed Computing - Mineable (3) with -0.33%.
In the last week, the best performers were: Generic - Not Mineable (17) with -0.34%, Content Creation - Not Mineable (2) with -1.18% and Privacy - Mineable (4) with -1.3%; the worst: Generic - Mineable (4) with -10.42%, Collectibles & NFTs - Not Mineable (4) with -9.59% and Store of Value - Mineable (2) with -9.06%.
Over the past month, the best performers were: Centralized Exchange - Not Mineable (5) with -9.53%, Content Creation - Not Mineable (2) with -14.07% and Privacy - Mineable (4) with -16.25%; the worst: Distributed Computing - Mineable (3) with -31.89%, Decentralized Finance (DeFi) - Not Mineable (9) with -30.54% and Collectibles & NFTs - Not Mineable (4) with -30.46%.
For the past year, the best performers were: Solana Ecosystem - Not Mineable (2) with 211.4%, Generic (4) with 95.11% and Store of Value - Mineable (2) with 88.16%; the worst: Privacy - Mineable (4) with -16.67%, Distributed Computing - Not Mineable with 28.63% and Generic - Not Mineable (17) with 40.27%.
New lows
We note that Maker has made a new One-year low.
Markets close on 30th Apr
Hong Kong: The 546 stocks analysed are 26.01% long and ended the trading day with a weighted daily change of -0.22% and a weekly change of 6.52%.
There are 4 new buys (BOC Hong Kong Holdings Ltd, China Travel International Investment Hong Kong Ltd, Industrial and Commercial Bank of China and Zall Group Ltd) and one new sell (Haitian International Holdings Ltd). With the new changes, long positions will increase by 0.55%.
There are also changes in the AIndexes: exits in Hong Kong - L40.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 70.15% of the total and a change of 7.74%, followed by the "Growth" group accounting for 4.58% and a change of 6.9% and the "Value" group accounting for 25.27% and a change of 3.8%.
The change in the top 3 stock categories on 30th Apr are Household Appliances (3) with 5.01%, IT Consulting & Other Services (3) with 4.17% and Industrial Machinery (4) with 4%; at the bottom are Advertising (3) with -9.61%, Health Care Services (5) with -4.98% and Automotive Retail (3) with -3.92%.
In the last week, the best performers were: Internet Services & Infrastructure (2) with 18.43%, Real Estate Development (51) with 17.03% and Electronic Components (5) with 12.88%; the worst: Advertising (3) with -5.34%, Integrated Telecommunication Services (6) with -2.3% and Health Care Distributors (4) with -1.75%.
Over the past month, the best performers were: Consumer Electronics (3) with 37.29%, Internet Services & Infrastructure (2) with 30.73% and Electronic Manufacturing Services (2) with 24.86%; the worst: Application Software (6) with -6.9%, Diversified REITs (2) with -5.14% and Semiconductor Equipment (3) with -3.99%.
For the past year, the best performers were: Advertising (3) with 132.34%, Integrated Oil & Gas (2) with 37.26% and Metals & Mining - Aluminum (3) with 37.15%; the worst: Automotive Retail (3) with -64.56%, Real Estate Services with -61.35% and Transportation - Airport Services (2) with -58.6%.
New highs and lows
All-time high (5) : CNOOC Ltd, China Shenhua Energy Co Ltd H, Bank of Communications Co Ltd, HSBC Holdings PLC and Fufeng Group Ltd
One-year high (14) : BOC Hong Kong Holdings Ltd, SITC International Holdings Co Ltd, China Hongqiao Group Ltd, Kunlun Energy, Aluminum Corp of China Ltd, Stella International Holdings Ltd, West China Cement Ltd, Sinopec Kantons Holdings Ltd, Haier Smart Home Co Ltd, Tianli Education International Holdings Ltd, Haitong International Securities Group Ltd, COSCO SHIPPING Holdings Co Ltd H, Bank Of Chongqing Co Ltd and Dah Sing Banking Group Ltd
All-time low (4) : Shinsun Holdings Group Co Ltd, Peijia Medical Ltd, HKBN Ltd and Country Garden Holdings Company Ltd
One-year low (2) : Honbridge Holdings Ltd and New Horizon Health Ltd
Signals
There are also changes in the AIndexes: exits in Hong Kong - L40.
Ranking
The change in the top 3 stock categories on 30th Apr are Household Appliances (3) with 5.01%, IT Consulting & Other Services (3) with 4.17% and Industrial Machinery (4) with 4%; at the bottom are Advertising (3) with -9.61%, Health Care Services (5) with -4.98% and Automotive Retail (3) with -3.92%.
In the last week, the best performers were: Internet Services & Infrastructure (2) with 18.43%, Real Estate Development (51) with 17.03% and Electronic Components (5) with 12.88%; the worst: Advertising (3) with -5.34%, Integrated Telecommunication Services (6) with -2.3% and Health Care Distributors (4) with -1.75%.
Over the past month, the best performers were: Consumer Electronics (3) with 37.29%, Internet Services & Infrastructure (2) with 30.73% and Electronic Manufacturing Services (2) with 24.86%; the worst: Application Software (6) with -6.9%, Diversified REITs (2) with -5.14% and Semiconductor Equipment (3) with -3.99%.
For the past year, the best performers were: Advertising (3) with 132.34%, Integrated Oil & Gas (2) with 37.26% and Metals & Mining - Aluminum (3) with 37.15%; the worst: Automotive Retail (3) with -64.56%, Real Estate Services with -61.35% and Transportation - Airport Services (2) with -58.6%.
New highs and lows
One-year high (14) : BOC Hong Kong Holdings Ltd, SITC International Holdings Co Ltd, China Hongqiao Group Ltd, Kunlun Energy, Aluminum Corp of China Ltd, Stella International Holdings Ltd, West China Cement Ltd, Sinopec Kantons Holdings Ltd, Haier Smart Home Co Ltd, Tianli Education International Holdings Ltd, Haitong International Securities Group Ltd, COSCO SHIPPING Holdings Co Ltd H, Bank Of Chongqing Co Ltd and Dah Sing Banking Group Ltd
All-time low (4) : Shinsun Holdings Group Co Ltd, Peijia Medical Ltd, HKBN Ltd and Country Garden Holdings Company Ltd
One-year low (2) : Honbridge Holdings Ltd and New Horizon Health Ltd
China: The 294 stocks analysed are 36.39% long and ended the trading day with a weighted daily change of -0.7% and a weekly change of 3.67%.
There is one new buy (Shenzhen Mindray Bio-Medical Electronics Co Ltd Class A) and 2 new sell (Focus Media Information Technology Co Ltd and Shenzhen Transsion Holdings Co Ltd). With the new changes, long positions will decrease by 0.34%.
There are also changes in the AIndexes: exits in Beverages - L10 / L20.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 54.08% of the total and a change of 4.18%, followed by the "Value" group accounting for 36.73% and a change of 3.56% and the "Growth" group accounting for 9.18% and a change of 2.05%.
The change in the top 3 stock categories on 30th Apr are Household Appliances (6) with 3.84%, Food / Beverage & Tobacco - Brewers (2) with 3.37% and Independent Power Producers & Energy Traders (5) with 2.3%; at the bottom are Health Care Services (3) with -4.58%, Automobile Manufacturers (6) with -3.68% and Food / Beverage & Tobacco - Agricultural Products (3) with -3.42%.
In the last week, the best performers were: Real Estate Development (7) with 13.24%, Electronic Manufacturing Services (3) with 9.28% and Health Care Equipment (3) with 8.85%; the worst: Transportation - Road & Rail - Railroads (2) with -4.8%, Heavy Electrical Equipment with -4.41% and Food / Beverage & Tobacco - Agricultural Products (3) with -4.17%.
Over the past month, the best performers were: Household Appliances (6) with 15.45%, Communications Equipment (2) with 14.43% and Health Care Equipment (3) with 10.89%; the worst: Health Care Services (3) with -12.65%, Specialty Stores (2) with -11.52% and Real Estate Development (7) with -8.92%.
For the past year, the best performers were: Integrated Oil & Gas (2) with 50.07%, Coal & Consumable Fuels (3) with 47.98% and Independent Power Producers & Energy Traders (5) with 38.86%; the worst: Specialty Stores (2) with -54.18%, Health Care Services (3) with -49.8% and Application Software (6) with -42.74%.
New highs and lows
One-year high (14) : Gree Electric Appliances Inc of Zhuhai, COSCO SHIPPING Holdings Co Ltd, Qingdao Haier Co Ltd, Shanxi Xinghuacun Fen Wine Factory Co Ltd, Beijing Roborock Technology Co Ltd, Bank of Hangzhou Co Ltd, Beijing New Building Materials Public Ltd Co, LB Group Co Ltd, Lens Technology Co Ltd, Bank of Chengdu Co Ltd, Fuyao Glass Industry Group Co Ltd Class A, Bank of Shanghai Co Ltd, Shandong Intco Medical Products Co Ltd and Gongniu Group Co Ltd
One-year low : Meinian Onehealth Healthcare Holdings Co Ltd
Signals
There are also changes in the AIndexes: exits in Beverages - L10 / L20.
Ranking
The change in the top 3 stock categories on 30th Apr are Household Appliances (6) with 3.84%, Food / Beverage & Tobacco - Brewers (2) with 3.37% and Independent Power Producers & Energy Traders (5) with 2.3%; at the bottom are Health Care Services (3) with -4.58%, Automobile Manufacturers (6) with -3.68% and Food / Beverage & Tobacco - Agricultural Products (3) with -3.42%.
In the last week, the best performers were: Real Estate Development (7) with 13.24%, Electronic Manufacturing Services (3) with 9.28% and Health Care Equipment (3) with 8.85%; the worst: Transportation - Road & Rail - Railroads (2) with -4.8%, Heavy Electrical Equipment with -4.41% and Food / Beverage & Tobacco - Agricultural Products (3) with -4.17%.
Over the past month, the best performers were: Household Appliances (6) with 15.45%, Communications Equipment (2) with 14.43% and Health Care Equipment (3) with 10.89%; the worst: Health Care Services (3) with -12.65%, Specialty Stores (2) with -11.52% and Real Estate Development (7) with -8.92%.
For the past year, the best performers were: Integrated Oil & Gas (2) with 50.07%, Coal & Consumable Fuels (3) with 47.98% and Independent Power Producers & Energy Traders (5) with 38.86%; the worst: Specialty Stores (2) with -54.18%, Health Care Services (3) with -49.8% and Application Software (6) with -42.74%.
New highs and lows
One-year low : Meinian Onehealth Healthcare Holdings Co Ltd
Italy: The 259 stocks analysed are 43.63% long and ended the trading day with a weighted daily change of -0.84% and a weekly change of 0.59%.
There are 2 new buys (FNM S.p.A. and Newlat Food S.p.A) and 2 new sell (Autostrade Meridionali S.p.A and Stellantis N.V.).
There are also changes in the AIndexes: new entries in Italy PIR - Mid - L10 / L20 and Italy PIR 30.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 49.03% of the total and a change of 0.72%, followed by the "Growth" group accounting for 23.94% and a change of 0.55% and the "Value" group accounting for 27.03% and a change of 0.49%.
The change in the top 3 stock categories on 30th Apr are Research & Consulting Services (4) with 4.62%, Consumer Electronics (2) with 3.81% and Pharmaceuticals (4) with 1.56%; at the bottom are Transportation - Highways & Railtracks with -22.81%, Automobile Manufacturers (4) with -3.35% and Real Estate Operating Companies (3) with -3.01%.
In the last week, the best performers were: Asset Management & Custody Banks (13) with 106.97%, Consumer Electronics (2) with 10.26% and Construction & Engineering (7) with 9.22%; the worst: Transportation - Highways & Railtracks with -22.78%, Housewares & Specialties with -13.86% and Oil & Gas Equipment & Services (2) with -7.34%.
Over the past month, the best performers were: Asset Management & Custody Banks (13) with 106.13%, Electrical Components & Equipment (6) with 14.19% and Restaurants with 9.62%; the worst: Housewares & Specialties with -33.98%, Transportation - Highways & Railtracks with -22.12% and Semiconductor Equipment (2) with -12.83%.
For the past year, the best performers were: Broadcasting (3) with 199.61%, Asset Management & Custody Banks (13) with 156.41% and Consumer Electronics (2) with 101%; the worst: Alternative Carriers (3) with -52.23%, Housewares & Specialties with -49.39% and Diversified Real Estate Activities (4) with -44.35%.
New highs and lows
All-time high (9) : Banca Popolare di Sondrio S.p.A., SOL S.p.A, Banco di Desio e della Brianza S.p.A., Banca Mediolanum SpA, Credito Emiliano S.p.A, SAES Getters S.p.A, Italmobiliare S.p.A, Cembre S.p.A. and Equita Group SpA
One-year high (13) : d Amico International Shipping S.A, BPER Banca SpA, Unipol Gruppo S.p.A., Banca IFIS, Pirelli & C SPA, Hera S.p.A, UnipolSai Assicurazioni SpA, Avio S.p.A, ACEA S.p.A., EL.En. S.p.A., Banca Monte dei Paschi di Siena SpA, RCS MediaGroup S.p.A and Net Insurance S.p.A
All-time low (6) : Softec, Gequity SpA, ePRICE S.p.A., KI Group, Autostrade Meridionali S.p.A and EEMS Italia SpA
One-year low (2) : NVP S.p.A and Fos SpA
Signals
There are also changes in the AIndexes: new entries in Italy PIR - Mid - L10 / L20 and Italy PIR 30.
Ranking
The change in the top 3 stock categories on 30th Apr are Research & Consulting Services (4) with 4.62%, Consumer Electronics (2) with 3.81% and Pharmaceuticals (4) with 1.56%; at the bottom are Transportation - Highways & Railtracks with -22.81%, Automobile Manufacturers (4) with -3.35% and Real Estate Operating Companies (3) with -3.01%.
In the last week, the best performers were: Asset Management & Custody Banks (13) with 106.97%, Consumer Electronics (2) with 10.26% and Construction & Engineering (7) with 9.22%; the worst: Transportation - Highways & Railtracks with -22.78%, Housewares & Specialties with -13.86% and Oil & Gas Equipment & Services (2) with -7.34%.
Over the past month, the best performers were: Asset Management & Custody Banks (13) with 106.13%, Electrical Components & Equipment (6) with 14.19% and Restaurants with 9.62%; the worst: Housewares & Specialties with -33.98%, Transportation - Highways & Railtracks with -22.12% and Semiconductor Equipment (2) with -12.83%.
For the past year, the best performers were: Broadcasting (3) with 199.61%, Asset Management & Custody Banks (13) with 156.41% and Consumer Electronics (2) with 101%; the worst: Alternative Carriers (3) with -52.23%, Housewares & Specialties with -49.39% and Diversified Real Estate Activities (4) with -44.35%.
New highs and lows
One-year high (13) : d Amico International Shipping S.A, BPER Banca SpA, Unipol Gruppo S.p.A., Banca IFIS, Pirelli & C SPA, Hera S.p.A, UnipolSai Assicurazioni SpA, Avio S.p.A, ACEA S.p.A., EL.En. S.p.A., Banca Monte dei Paschi di Siena SpA, RCS MediaGroup S.p.A and Net Insurance S.p.A
All-time low (6) : Softec, Gequity SpA, ePRICE S.p.A., KI Group, Autostrade Meridionali S.p.A and EEMS Italia SpA
One-year low (2) : NVP S.p.A and Fos SpA
Germany: The 207 stocks analysed are 45.89% long and ended the trading day with a weighted daily change of -0.75% and a weekly change of -0.4%.
There are 2 new buys (Stabilus S.A. and WashTec AG) and one new sell (Porsche AG). With the new changes, long positions will increase by 0.48%.
There are also changes in the AIndexes: exits in Stock EUR Growth - L20 and Stock EUR Value - L40.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 36.71% of the total and a change of 0.4%, followed by the "Growth" group accounting for 16.43% and a change of -0.16% and the "Lack" group accounting for 46.86% and a change of -1.25%.
The change in the top 3 stock categories on 30th Apr are Diversified Real Estate Activities (2) with 8.33%, Real Estate Operating Companies (7) with 2.92% and Health Care Services (2) with 1.73%; at the bottom are Auto Parts & Equipment (8) with -5.7%, Automobile Manufacturers (7) with -3.71% and Wireless Telecommunication Services (2) with -3.44%.
In the last week, the best performers were: Investment Banking & Brokerage (2) with 11.01%, Semiconductors (2) with 10.79% and Diversified Real Estate Activities (2) with 6.59%; the worst: Life Sciences Tools & Services (4) with -8.62%, Auto Parts & Equipment (8) with -6.6% and Food & Staples Retailing - Food Retail (2) with -6.22%.
Over the past month, the best performers were: Building Products (2) with 17.49%, Health Care Services (2) with 11.49% and Heavy Electrical Equipment (5) with 9.31%; the worst: Electrical Components & Equipment (3) with -24.58%, Home Furnishings with -17.36% and Life Sciences Tools & Services (4) with -15.26%.
For the past year, the best performers were: Biotechnology (3) with 126.65%, Investment Banking & Brokerage (2) with 77.58% and Other Diversified Financial Services (2) with 59.21%; the worst: Food & Staples Retailing - Food Retail (2) with -65.61%, Electrical Components & Equipment (3) with -52.6% and Diversified Real Estate Activities (2) with -41.18%.
New highs and lows
All-time high : Mutares SE & Co. KGaA
One-year high (6) : Deutsche Post AG, TAG Immobilien AG, Evonik Industries AG, LEG Immobilien SE, home24 SE and ADLER Real Estate AG
All-time low (3) : Leoni Ag, Adler Group SA and Medigene AG
One-year low : Bertrandt Aktiengesellschaft
Signals
There are also changes in the AIndexes: exits in Stock EUR Growth - L20 and Stock EUR Value - L40.
Ranking
The change in the top 3 stock categories on 30th Apr are Diversified Real Estate Activities (2) with 8.33%, Real Estate Operating Companies (7) with 2.92% and Health Care Services (2) with 1.73%; at the bottom are Auto Parts & Equipment (8) with -5.7%, Automobile Manufacturers (7) with -3.71% and Wireless Telecommunication Services (2) with -3.44%.
In the last week, the best performers were: Investment Banking & Brokerage (2) with 11.01%, Semiconductors (2) with 10.79% and Diversified Real Estate Activities (2) with 6.59%; the worst: Life Sciences Tools & Services (4) with -8.62%, Auto Parts & Equipment (8) with -6.6% and Food & Staples Retailing - Food Retail (2) with -6.22%.
Over the past month, the best performers were: Building Products (2) with 17.49%, Health Care Services (2) with 11.49% and Heavy Electrical Equipment (5) with 9.31%; the worst: Electrical Components & Equipment (3) with -24.58%, Home Furnishings with -17.36% and Life Sciences Tools & Services (4) with -15.26%.
For the past year, the best performers were: Biotechnology (3) with 126.65%, Investment Banking & Brokerage (2) with 77.58% and Other Diversified Financial Services (2) with 59.21%; the worst: Food & Staples Retailing - Food Retail (2) with -65.61%, Electrical Components & Equipment (3) with -52.6% and Diversified Real Estate Activities (2) with -41.18%.
New highs and lows
One-year high (6) : Deutsche Post AG, TAG Immobilien AG, Evonik Industries AG, LEG Immobilien SE, home24 SE and ADLER Real Estate AG
All-time low (3) : Leoni Ag, Adler Group SA and Medigene AG
One-year low : Bertrandt Aktiengesellschaft
Sweden: The 181 stocks analysed are 51.93% long and ended the trading day with a weighted daily change of 0.11% and a weekly change of 0.97%.
There is one new buy (Swedish Orphan Biovitrum AB publ). With the new changes, long positions will increase by 0.55%.
There are also changes in the AIndexes: new entries in STOXX Europe 600 - Nordic - L40.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 25.97% of the total and a change of 1.54%, followed by the "Value" group accounting for 38.12% and a change of 1.4% and the "Lack" group accounting for 35.91% and a change of -0.32%.
The change in the top 3 stock categories on 30th Apr are Oil & Gas Exploration & Production with 5.84%, Health Care Supplies (3) with 2.72% and Automotive Retail (2) with 1.97%; at the bottom are Aerospace & Defense (3) with -3.21%, Electronic Equipment & Instruments (5) with -2.14% and Health Care Equipment (5) with -1.1%.
In the last week, the best performers were: Health Care Supplies (3) with 27.95%, Oil & Gas Exploration & Production with 18.96% and Automotive Retail (2) with 7.96%; the worst: Internet & Direct Marketing Retail (3) with -9.31%, Health Care Facilities (2) with -5.09% and Diversified Banks (5) with -5%.
Over the past month, the best performers were: Oil & Gas Exploration & Production with 68.12%, Health Care Supplies (3) with 33.2% and Wireless Telecommunication Services (2) with 11.46%; the worst: Internet & Direct Marketing Retail (3) with -10.6%, Homebuilding (2) with -9.93% and IT Consulting & Other Services (3) with -6.71%.
For the past year, the best performers were: Pharmaceuticals (4) with 58.8%, Health Care Facilities (2) with 51.85% and Aerospace & Defense (3) with 47.91%; the worst: Oil & Gas Exploration & Production with -79%, Diversified Support Services (3) with -49.78% and Electrical Components & Equipment (4) with -47.76%.
New highs and lows
All-time high (8) : Atlas Copco AB Series A, Alfa Laval AB, MedCap AB (publ), Trelleborg AB (publ), Nordnet AB, VBG Group AB (publ), AB SKF (publ) and Granges AB (publ)
One-year high (13) : Tele2 AB (publ), AAK AB, Millicom International Cellular S.A, Bure Equity AB, Xvivo Perfusion AB, Peab AB (publ), Cibus Nordic Real Estate AB (publ), Alimak Hek Group AB, Pandox AB (publ), Ratos AB (publ), Scandi Standard publ AB, Bilia AB (publ) and NP3 Fastigheter AB
One-year low : Fingerprint Cards AB (publ)
Signals
There are also changes in the AIndexes: new entries in STOXX Europe 600 - Nordic - L40.
Ranking
The change in the top 3 stock categories on 30th Apr are Oil & Gas Exploration & Production with 5.84%, Health Care Supplies (3) with 2.72% and Automotive Retail (2) with 1.97%; at the bottom are Aerospace & Defense (3) with -3.21%, Electronic Equipment & Instruments (5) with -2.14% and Health Care Equipment (5) with -1.1%.
In the last week, the best performers were: Health Care Supplies (3) with 27.95%, Oil & Gas Exploration & Production with 18.96% and Automotive Retail (2) with 7.96%; the worst: Internet & Direct Marketing Retail (3) with -9.31%, Health Care Facilities (2) with -5.09% and Diversified Banks (5) with -5%.
Over the past month, the best performers were: Oil & Gas Exploration & Production with 68.12%, Health Care Supplies (3) with 33.2% and Wireless Telecommunication Services (2) with 11.46%; the worst: Internet & Direct Marketing Retail (3) with -10.6%, Homebuilding (2) with -9.93% and IT Consulting & Other Services (3) with -6.71%.
For the past year, the best performers were: Pharmaceuticals (4) with 58.8%, Health Care Facilities (2) with 51.85% and Aerospace & Defense (3) with 47.91%; the worst: Oil & Gas Exploration & Production with -79%, Diversified Support Services (3) with -49.78% and Electrical Components & Equipment (4) with -47.76%.
New highs and lows
One-year high (13) : Tele2 AB (publ), AAK AB, Millicom International Cellular S.A, Bure Equity AB, Xvivo Perfusion AB, Peab AB (publ), Cibus Nordic Real Estate AB (publ), Alimak Hek Group AB, Pandox AB (publ), Ratos AB (publ), Scandi Standard publ AB, Bilia AB (publ) and NP3 Fastigheter AB
One-year low : Fingerprint Cards AB (publ)
Switzerland: The 179 stocks analysed are 46.93% long and ended the trading day with a weighted daily change of -0.09% and a weekly change of 0.2%.
There is one new buy (Medacta Group SA) and one new sell (Ypsomed Holding AG)
There are no changes in the AIndexes.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 42.46% of the total and a change of 1.22%, followed by the "Growth" group accounting for 19.55% and a change of -0.17% and the "Value" group accounting for 37.99% and a change of -0.5%.
The change in the top 3 stock categories on 30th Apr are Food / Beverage & Tobacco - Packaged Foods & Meats (12) with 8.24%, Application Software (2) with 1.36% and Pharmaceuticals (6) with 1.04%; at the bottom are Advertising (2) with -5.54%, Health Care Equipment (4) with -4.38% and Biotechnology (6) with -2.02%.
In the last week, the best performers were: Semiconductors (3) with 10.86%, Food / Beverage & Tobacco - Packaged Foods & Meats (12) with 6.05% and Electronic Equipment & Instruments (6) with 2.08%; the worst: Biotechnology (6) with -12.5%, Application Software (2) with -9.28% and Specialty Stores with -5.75%.
Over the past month, the best performers were: Transportation - Road & Rail - Railroads (2) with 10.85%, Construction & Engineering (3) with 4.86% and Investment Banking & Brokerage (4) with 2.96%; the worst: Real Estate Operating Companies (6) with -19.53%, Biotechnology (6) with -16.45% and Application Software (2) with -9.5%.
For the past year, the best performers were: Biotechnology (6) with 183.3%, Semiconductors (3) with 106.63% and Transportation - Road & Rail - Railroads (2) with 39.01%; the worst: Diversified Capital Markets with -26.77%, Apparel / Accessories & Luxury Goods (4) with -23.81% and Real Estate Operating Companies (6) with -17.2%.
New highs and lows
All-time high (3) : ABB Ltd, Zuger Kantonalbank and Berner Kantonalbank AG
One-year high (3) : Clariant AG, Burkhalter Holding AG and MCH Group AG
All-time low : Blackstone Resources AG
One-year low (6) : S H L Telemedicine Ltd, Perfect Holding SA, Glarner Kantonalbank, PIERER Mobility AG, Bobst Group SA and Dufry AG
Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 30th Apr are Food / Beverage & Tobacco - Packaged Foods & Meats (12) with 8.24%, Application Software (2) with 1.36% and Pharmaceuticals (6) with 1.04%; at the bottom are Advertising (2) with -5.54%, Health Care Equipment (4) with -4.38% and Biotechnology (6) with -2.02%.
In the last week, the best performers were: Semiconductors (3) with 10.86%, Food / Beverage & Tobacco - Packaged Foods & Meats (12) with 6.05% and Electronic Equipment & Instruments (6) with 2.08%; the worst: Biotechnology (6) with -12.5%, Application Software (2) with -9.28% and Specialty Stores with -5.75%.
Over the past month, the best performers were: Transportation - Road & Rail - Railroads (2) with 10.85%, Construction & Engineering (3) with 4.86% and Investment Banking & Brokerage (4) with 2.96%; the worst: Real Estate Operating Companies (6) with -19.53%, Biotechnology (6) with -16.45% and Application Software (2) with -9.5%.
For the past year, the best performers were: Biotechnology (6) with 183.3%, Semiconductors (3) with 106.63% and Transportation - Road & Rail - Railroads (2) with 39.01%; the worst: Diversified Capital Markets with -26.77%, Apparel / Accessories & Luxury Goods (4) with -23.81% and Real Estate Operating Companies (6) with -17.2%.
New highs and lows
One-year high (3) : Clariant AG, Burkhalter Holding AG and MCH Group AG
All-time low : Blackstone Resources AG
One-year low (6) : S H L Telemedicine Ltd, Perfect Holding SA, Glarner Kantonalbank, PIERER Mobility AG, Bobst Group SA and Dufry AG
France: The 169 stocks analysed are 53.85% long and ended the trading day with a weighted daily change of -1.04% and a weekly change of -0.56%.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 36.09% of the total and a change of -0.28%, followed by the "Lack" group accounting for 44.97% and a change of -0.74% and the "Growth" group accounting for 18.93% and a change of -0.76%.
The change in the top 3 stock categories on 30th Apr are Food / Beverage & Tobacco - Packaged Foods & Meats with 1.15%, Restaurants (2) with 0.53% and Pharmaceuticals (5) with 0.45%; at the bottom are Cable & Satellite (2) with -4.6%, Trading Companies & Distributors (2) with -3.95% and Industrial Machinery (3) with -3.5%.
In the last week, the best performers were: Restaurants (2) with 5.16%, Building Products (2) with 5.12% and Industrial Machinery (3) with 4.3%; the worst: Cable & Satellite (2) with -10.72%, Health Care Equipment (2) with -6.8% and Oil & Gas Exploration & Production with -6.58%.
Over the past month, the best performers were: Human Resource & Employment Services (2) with 8.86%, Oil & Gas Exploration & Production with 8.39% and Renewable Electricity with 6.92%; the worst: Cable & Satellite (2) with -17.78%, Movies & Entertainment (3) with -17.6% and Life Sciences Tools & Services (2) with -12.69%.
For the past year, the best performers were: Oil & Gas Exploration & Production with 87.37%, Semiconductors (3) with 51.56% and Health Care Supplies (2) with 51.14%; the worst: Food & Staples Retailing - Food Retail (2) with -98.72%, Health Care Facilities with -67.43% and Industrial Machinery (3) with -66.71%.
New highs and lows
All-time high (5) : Thales S.A., Sodexo SA, Nexans S.A., Eurazeo and Compagnie de Saint-Gobain S.A.
One-year high (7) : Eramet SA, Compagnie Generale des Etablissements Michelin SCA, Klepierre SA, Unibail-Rodamco-Westfield, Vilmorin & Cie SA, Television Francaise 1 SA and AKKA Technologies SE
One-year low : Ses S. A.
Ranking
The change in the top 3 stock categories on 30th Apr are Food / Beverage & Tobacco - Packaged Foods & Meats with 1.15%, Restaurants (2) with 0.53% and Pharmaceuticals (5) with 0.45%; at the bottom are Cable & Satellite (2) with -4.6%, Trading Companies & Distributors (2) with -3.95% and Industrial Machinery (3) with -3.5%.
In the last week, the best performers were: Restaurants (2) with 5.16%, Building Products (2) with 5.12% and Industrial Machinery (3) with 4.3%; the worst: Cable & Satellite (2) with -10.72%, Health Care Equipment (2) with -6.8% and Oil & Gas Exploration & Production with -6.58%.
Over the past month, the best performers were: Human Resource & Employment Services (2) with 8.86%, Oil & Gas Exploration & Production with 8.39% and Renewable Electricity with 6.92%; the worst: Cable & Satellite (2) with -17.78%, Movies & Entertainment (3) with -17.6% and Life Sciences Tools & Services (2) with -12.69%.
For the past year, the best performers were: Oil & Gas Exploration & Production with 87.37%, Semiconductors (3) with 51.56% and Health Care Supplies (2) with 51.14%; the worst: Food & Staples Retailing - Food Retail (2) with -98.72%, Health Care Facilities with -67.43% and Industrial Machinery (3) with -66.71%.
New highs and lows
One-year high (7) : Eramet SA, Compagnie Generale des Etablissements Michelin SCA, Klepierre SA, Unibail-Rodamco-Westfield, Vilmorin & Cie SA, Television Francaise 1 SA and AKKA Technologies SE
One-year low : Ses S. A.
Korea: The 149 stocks analysed are 35.57% long and ended the trading day with a weighted daily change of -0.3% and a weekly change of 2.86%.
There is one new buy (Amorepacific). With the new changes, long positions will increase by 0.67%.
There are no changes in the AIndexes.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 12.08% of the total and a change of 3.93%, followed by the "Lack" group accounting for 54.36% and a change of 2.84% and the "Value" group accounting for 33.56% and a change of 2.34%.
The change in the top 3 stock categories on 30th Apr are Personal Products (3) with 6.8%, Electronic Components (6) with 1.36% and Construction & Engineering (6) with 0.8%; at the bottom are Aerospace & Defense (3) with -5.5%, Specialty Chemicals (2) with -3.06% and Property & Casualty Insurance (4) with -2.08%.
In the last week, the best performers were: Personal Products (3) with 12.88%, Electronic Components (6) with 7.95% and IT Consulting & Other Services (2) with 7.6%; the worst: Movies & Entertainment (2) with -2.71%, Construction Machinery & Heavy Trucks (6) with -2.71% and Property & Casualty Insurance (4) with -0.63%.
Over the past month, the best performers were: Personal Products (3) with 24.58%, Construction Machinery & Heavy Trucks (6) with 10.02% and Automobile Manufacturers (2) with 7.4%; the worst: Movies & Entertainment (2) with -11.49%, Specialty Chemicals (2) with -11.24% and Pharmaceuticals (7) with -7.24%.
For the past year, the best performers were: Biotechnology (7) with 85.76%, Semiconductors (3) with 69.12% and Aerospace & Defense (3) with 46.79%; the worst: Apparel / Accessories & Luxury Goods (2) with -32.37%, Food & Staples Retailing - Food Retail (2) with -31.7% and Electronic Components (6) with -28.08%.
New highs and lows
One-year high (3) : Amorepacific, Korea Shipbuilding & Offshore Engineering Co Ltd and Hugel Inc
One-year low : SK IE Technology Co Ltd
Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 30th Apr are Personal Products (3) with 6.8%, Electronic Components (6) with 1.36% and Construction & Engineering (6) with 0.8%; at the bottom are Aerospace & Defense (3) with -5.5%, Specialty Chemicals (2) with -3.06% and Property & Casualty Insurance (4) with -2.08%.
In the last week, the best performers were: Personal Products (3) with 12.88%, Electronic Components (6) with 7.95% and IT Consulting & Other Services (2) with 7.6%; the worst: Movies & Entertainment (2) with -2.71%, Construction Machinery & Heavy Trucks (6) with -2.71% and Property & Casualty Insurance (4) with -0.63%.
Over the past month, the best performers were: Personal Products (3) with 24.58%, Construction Machinery & Heavy Trucks (6) with 10.02% and Automobile Manufacturers (2) with 7.4%; the worst: Movies & Entertainment (2) with -11.49%, Specialty Chemicals (2) with -11.24% and Pharmaceuticals (7) with -7.24%.
For the past year, the best performers were: Biotechnology (7) with 85.76%, Semiconductors (3) with 69.12% and Aerospace & Defense (3) with 46.79%; the worst: Apparel / Accessories & Luxury Goods (2) with -32.37%, Food & Staples Retailing - Food Retail (2) with -31.7% and Electronic Components (6) with -28.08%.
New highs and lows
One-year low : SK IE Technology Co Ltd
Spain: The 101 stocks analysed are 51.49% long and ended the trading day with a weighted daily change of -0.79% and a weekly change of 0.49%.
There are 2 new sell (Banco Bilbao Vizcaya Argentaria SA and Vocento). With the new changes, long positions will decrease by 1.98%.
There are also changes in the AIndexes: exits in Spain - L20 / L40.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 51.49% of the total and a change of 0.71%, followed by the "Lack" group accounting for 33.66% and a change of 0.57% and the "Growth" group accounting for 14.85% and a change of -0.32%.
The change in the top 3 stock categories on 30th Apr are Publishing (2) with 5.1%, Biotechnology (3) with 1.36% and Pharmaceuticals (4) with 1.12%; at the bottom are Broadcasting with -3.08%, Auto Parts & Equipment (2) with -2.28% and Renewable Electricity (4) with -2.24%.
In the last week, the best performers were: Publishing (2) with 9.31%, Diversified Banks (6) with 3.35% and Pharmaceuticals (4) with 3.22%; the worst: Diversified REITs (2) with -3.19%, Broadcasting with -2.55% and Auto Parts & Equipment (2) with -1.78%.
Over the past month, the best performers were: Communications Equipment with 63.12%, Gas Utilities (2) with 10.49% and Diversified Banks (6) with 8.37%; the worst: Auto Parts & Equipment (2) with -5.88%, Construction & Engineering (8) with -3.5% and Construction Machinery & Heavy Trucks (2) with -3.27%.
For the past year, the best performers were: Diversified Banks (6) with 47.73%, Pharmaceuticals (4) with 41.5% and Diversified REITs (2) with 33.69%; the worst: Communications Equipment with -46.9%, Auto Parts & Equipment (2) with -16.38% and Gas Utilities (2) with -14.34%.
New highs and lows
All-time high (5) : Bankinter, Vidrala SA, Grupo Catalana Occidente, Nicolas Correa SA and Coca-Cola European Partners PLC
One-year high (8) : Banco de Sabadell S.A, Telefonica, Merlin Properties SOCIMI SA, Metrovacesa SA, Faes Farma SA, Libertas 7 SA, Vocento and Inmobiliaria del Sur SA
All-time low : Codere S.A
Signals
There are also changes in the AIndexes: exits in Spain - L20 / L40.
Ranking
The change in the top 3 stock categories on 30th Apr are Publishing (2) with 5.1%, Biotechnology (3) with 1.36% and Pharmaceuticals (4) with 1.12%; at the bottom are Broadcasting with -3.08%, Auto Parts & Equipment (2) with -2.28% and Renewable Electricity (4) with -2.24%.
In the last week, the best performers were: Publishing (2) with 9.31%, Diversified Banks (6) with 3.35% and Pharmaceuticals (4) with 3.22%; the worst: Diversified REITs (2) with -3.19%, Broadcasting with -2.55% and Auto Parts & Equipment (2) with -1.78%.
Over the past month, the best performers were: Communications Equipment with 63.12%, Gas Utilities (2) with 10.49% and Diversified Banks (6) with 8.37%; the worst: Auto Parts & Equipment (2) with -5.88%, Construction & Engineering (8) with -3.5% and Construction Machinery & Heavy Trucks (2) with -3.27%.
For the past year, the best performers were: Diversified Banks (6) with 47.73%, Pharmaceuticals (4) with 41.5% and Diversified REITs (2) with 33.69%; the worst: Communications Equipment with -46.9%, Auto Parts & Equipment (2) with -16.38% and Gas Utilities (2) with -14.34%.
New highs and lows
One-year high (8) : Banco de Sabadell S.A, Telefonica, Merlin Properties SOCIMI SA, Metrovacesa SA, Faes Farma SA, Libertas 7 SA, Vocento and Inmobiliaria del Sur SA
All-time low : Codere S.A
Singapore: The 75 stocks analysed are 45.33% long and ended the trading day with a weighted daily change of -0.05% and a weekly change of 1.44%.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 10.67% of the total and a change of 2.21%, followed by the "Lack" group accounting for 57.33% and a change of 1.89% and the "Value" group accounting for 32% and a change of 0.43%.
The change in the top 3 stock categories on 30th Apr are Construction Machinery & Heavy Trucks (2) with 3.86%, Health Care Supplies with 3.42% and Food / Beverage & Tobacco - Packaged Foods & Meats (4) with 2.25%; at the bottom are Food / Beverage & Tobacco - Agricultural Products (4) with -2.17%, Health Care Facilities (2) with -0.73% and Transportation - Air Freight & Logistics (2) with -0.69%.
In the last week, the best performers were: Construction Machinery & Heavy Trucks (2) with 12.14%, Transportation - Air Freight & Logistics (2) with 7.52% and Real Estate Development (3) with 5.66%; the worst: Health Care Facilities (2) with -1.95%, Food / Beverage & Tobacco - Agricultural Products (4) with -1.7% and Diversified REITs (2) with -0.71%.
Over the past month, the best performers were: Construction Machinery & Heavy Trucks (2) with 9.84%, Food / Beverage & Tobacco - Packaged Foods & Meats (4) with 5.91% and Diversified Banks (3) with 5.84%; the worst: Office REITs (4) with -4.49%, Industrial REITs (7) with -4.18% and Hotel & Resort REITs (3) with -3.98%.
For the past year, the best performers were: Health Care Supplies with 25.94%, Transportation - Road & Rail - Trucking (2) with 25.56% and Construction Machinery & Heavy Trucks (2) with 18.9%; the worst: Real Estate Development (3) with -31.64%, Health Care Facilities (2) with -28.97% and Office REITs (4) with -22.16%.
New highs and lows
All-time high : Dbs Group Holdings Ltd
One-year high (3) : Comfortdelgro Corporation Ltd, Japfa Ltd. and Riverstone Holdings Limited
All-time low : Oxley Holdings Limited
One-year low : CapitaLand Retail China Trust (
Ranking
The change in the top 3 stock categories on 30th Apr are Construction Machinery & Heavy Trucks (2) with 3.86%, Health Care Supplies with 3.42% and Food / Beverage & Tobacco - Packaged Foods & Meats (4) with 2.25%; at the bottom are Food / Beverage & Tobacco - Agricultural Products (4) with -2.17%, Health Care Facilities (2) with -0.73% and Transportation - Air Freight & Logistics (2) with -0.69%.
In the last week, the best performers were: Construction Machinery & Heavy Trucks (2) with 12.14%, Transportation - Air Freight & Logistics (2) with 7.52% and Real Estate Development (3) with 5.66%; the worst: Health Care Facilities (2) with -1.95%, Food / Beverage & Tobacco - Agricultural Products (4) with -1.7% and Diversified REITs (2) with -0.71%.
Over the past month, the best performers were: Construction Machinery & Heavy Trucks (2) with 9.84%, Food / Beverage & Tobacco - Packaged Foods & Meats (4) with 5.91% and Diversified Banks (3) with 5.84%; the worst: Office REITs (4) with -4.49%, Industrial REITs (7) with -4.18% and Hotel & Resort REITs (3) with -3.98%.
For the past year, the best performers were: Health Care Supplies with 25.94%, Transportation - Road & Rail - Trucking (2) with 25.56% and Construction Machinery & Heavy Trucks (2) with 18.9%; the worst: Real Estate Development (3) with -31.64%, Health Care Facilities (2) with -28.97% and Office REITs (4) with -22.16%.
New highs and lows
One-year high (3) : Comfortdelgro Corporation Ltd, Japfa Ltd. and Riverstone Holdings Limited
All-time low : Oxley Holdings Limited
One-year low : CapitaLand Retail China Trust (
Netherlands: The 60 stocks analysed are 48.33% long and ended the trading day with a weighted daily change of -0.74% and a weekly change of 0.44%.
There is one new buy (Randstad NV). With the new changes, long positions will increase by 1.67%.
There are also changes in the AIndexes: new entries in Netherlands - L20.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 38.33% of the total and a change of 1.85%, followed by the "Growth" group accounting for 21.67% and a change of 1.63% and the "Lack" group accounting for 40% and a change of -2%.
The change in the top 3 stock categories on 30th Apr are Specialty Chemicals (4) with 0.48%, Diversified Banks (2) with 0.27% and Food / Beverage & Tobacco - Brewers (2) with 0.07%; at the bottom are Asset Management & Custody Banks (2) with -2.09%, Biotechnology (2) with -2% and Metals & Mining - Steel (2) with -1.95%.
In the last week, the best performers were: Heavy Electrical Equipment (2) with 10.83%, Human Resource & Employment Services (2) with 3.57% and Integrated Oil & Gas with 2.51%; the worst: Asset Management & Custody Banks (2) with -5.38%, Electrical Components & Equipment (2) with -3.91% and Biotechnology (2) with -3.51%.
Over the past month, the best performers were: Integrated Oil & Gas with 13.56%, Retail REITs (4) with 7.23% and Construction & Engineering (3) with 5.18%; the worst: Heavy Electrical Equipment (2) with -14.78%, Biotechnology (2) with -12.19% and Metals & Mining - Steel (2) with -6.89%.
For the past year, the best performers were: Construction & Engineering (3) with 70.79%, Semiconductor Equipment (3) with 61.58% and Life & Health Insurance (2) with 40.58%; the worst: Heavy Electrical Equipment (2) with -36.25%, Specialty Chemicals (4) with -16.54% and Biotechnology (2) with -16.17%.
All-time high (5) : Aegon NV, ASR Nederland NV, Arcadis N.V., Van Lanschot NV and Hunter Douglas N.V
One-year high (2) : NN Group NV and B&S Group SA
Signals
There are also changes in the AIndexes: new entries in Netherlands - L20.
Ranking
The change in the top 3 stock categories on 30th Apr are Specialty Chemicals (4) with 0.48%, Diversified Banks (2) with 0.27% and Food / Beverage & Tobacco - Brewers (2) with 0.07%; at the bottom are Asset Management & Custody Banks (2) with -2.09%, Biotechnology (2) with -2% and Metals & Mining - Steel (2) with -1.95%.
In the last week, the best performers were: Heavy Electrical Equipment (2) with 10.83%, Human Resource & Employment Services (2) with 3.57% and Integrated Oil & Gas with 2.51%; the worst: Asset Management & Custody Banks (2) with -5.38%, Electrical Components & Equipment (2) with -3.91% and Biotechnology (2) with -3.51%.
Over the past month, the best performers were: Integrated Oil & Gas with 13.56%, Retail REITs (4) with 7.23% and Construction & Engineering (3) with 5.18%; the worst: Heavy Electrical Equipment (2) with -14.78%, Biotechnology (2) with -12.19% and Metals & Mining - Steel (2) with -6.89%.
For the past year, the best performers were: Construction & Engineering (3) with 70.79%, Semiconductor Equipment (3) with 61.58% and Life & Health Insurance (2) with 40.58%; the worst: Heavy Electrical Equipment (2) with -36.25%, Specialty Chemicals (4) with -16.54% and Biotechnology (2) with -16.17%.
New highs
One-year high (2) : NN Group NV and B&S Group SA
Norway: The 59 stocks analysed are 55.93% long and ended the trading day with a weighted daily change of 0.61% and a weekly change of 3.82%.
There are 2 new buys (DnB ASA and Nordic Semiconductor ASA). With the new changes, long positions will increase by 3.39%.
There are no changes in the AIndexes.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 22.03% of the total and a change of 4.49%, followed by the "Lack" group accounting for 40.68% and a change of 3.91% and the "Growth" group accounting for 37.29% and a change of 3.3%.
The change in the top 3 stock categories on 30th Apr are IT Consulting & Other Services (2) with 2.15%, Publishing (2) with 1.68% and Oil & Gas Storage & Transportation (3) with 1.65%; at the bottom are Specialty Chemicals (2) with -2.15%, Oil & Gas Exploration & Production (2) with -1.56% and Oil & Gas Equipment & Services (3) with -1.12%.
In the last week, the best performers were: Transportation - Marine (6) with 11%, Food / Beverage & Tobacco - Packaged Foods & Meats (9) with 6.34% and IT Consulting & Other Services (2) with 5.77%; the worst: Industrial Machinery (3) with -6.99%, Diversified Banks (3) with -3.78% and Publishing (2) with -1.35%.
Over the past month, the best performers were: Transportation - Marine (6) with 25.55%, Oil & Gas Storage & Transportation (3) with 17.96% and Multi-line Insurance (2) with 8.72%; the worst: Industrial Machinery (3) with -17.86%, Publishing (2) with -6.92% and Specialty Chemicals (2) with -4.87%.
For the past year, the best performers were: Oil & Gas Storage & Transportation (3) with 90.15%, Publishing (2) with 78.57% and Transportation - Marine (6) with 48.42%; the worst: Industrial Machinery (3) with -27.47%, Specialty Chemicals (2) with -24.25% and IT Consulting & Other Services (2) with -1.72%.
All-time high (2) : Kongsberg Gruppen ASA and Subsea 7 S.A.
One-year high (3) : Golden Ocean Group Ltd, Telenor ASA and MPC Container Ships ASA
Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 30th Apr are IT Consulting & Other Services (2) with 2.15%, Publishing (2) with 1.68% and Oil & Gas Storage & Transportation (3) with 1.65%; at the bottom are Specialty Chemicals (2) with -2.15%, Oil & Gas Exploration & Production (2) with -1.56% and Oil & Gas Equipment & Services (3) with -1.12%.
In the last week, the best performers were: Transportation - Marine (6) with 11%, Food / Beverage & Tobacco - Packaged Foods & Meats (9) with 6.34% and IT Consulting & Other Services (2) with 5.77%; the worst: Industrial Machinery (3) with -6.99%, Diversified Banks (3) with -3.78% and Publishing (2) with -1.35%.
Over the past month, the best performers were: Transportation - Marine (6) with 25.55%, Oil & Gas Storage & Transportation (3) with 17.96% and Multi-line Insurance (2) with 8.72%; the worst: Industrial Machinery (3) with -17.86%, Publishing (2) with -6.92% and Specialty Chemicals (2) with -4.87%.
For the past year, the best performers were: Oil & Gas Storage & Transportation (3) with 90.15%, Publishing (2) with 78.57% and Transportation - Marine (6) with 48.42%; the worst: Industrial Machinery (3) with -27.47%, Specialty Chemicals (2) with -24.25% and IT Consulting & Other Services (2) with -1.72%.
New highs
One-year high (3) : Golden Ocean Group Ltd, Telenor ASA and MPC Container Ships ASA
Finland: The 49 stocks analysed are 46.94% long and ended the trading day with a weighted daily change of -0.25% and a weekly change of -0.2%.
There are 2 new sell (Aktia Bank Abp and Kesko Oyj). With the new changes, long positions will decrease by 4.08%.
There are no changes in the AIndexes.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 28.57% of the total and a change of 3.41%, followed by the "Growth" group accounting for 28.57% and a change of -0.26% and the "Lack" group accounting for 42.86% and a change of -3.25%.
The change in the top 3 stock categories on 30th Apr are Construction & Engineering with 2.69%, Industrial Machinery (6) with 2.21% and Publishing with 2.21%; at the bottom are Application Software (4) with -1.2%, Construction Machinery & Heavy Trucks with -0.82% and Paper Products (3) with -0.81%.
In the last week, the best performers were: Construction & Engineering with 9.25%, Industrial Machinery (6) with 4.51% and Publishing with 2.92%; the worst: Construction Machinery & Heavy Trucks with -4.18%, Application Software (4) with -2.36% and Regional Banks (2) with -2.06%.
Over the past month, the best performers were: Application Software (4) with 443.98%, Construction & Engineering with 28.24% and Industrial Machinery (6) with 4.45%; the worst: Regional Banks (2) with -9.25%, Food / Beverage & Tobacco - Packaged Foods & Meats (3) with -3.55% and Construction Machinery & Heavy Trucks with -1.68%.
For the past year, the best performers were: Application Software (4) with 231.98%, Industrial Machinery (6) with 29.2% and Construction Machinery & Heavy Trucks with 16.59%; the worst: Construction & Engineering with -43.69%, Food / Beverage & Tobacco - Packaged Foods & Meats (3) with -13.23% and Regional Banks (2) with -4.92%.
New highs and lows
All-time high (3) : Konecranes Plc, Kemira Oyj and Cargotec Oyj
One-year high : Basware Oyj
All-time low : Oriola-KD Oyj B
One-year low (2) : Oma Saastopankki Oyj and Neste Oil Oyj
Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 30th Apr are Construction & Engineering with 2.69%, Industrial Machinery (6) with 2.21% and Publishing with 2.21%; at the bottom are Application Software (4) with -1.2%, Construction Machinery & Heavy Trucks with -0.82% and Paper Products (3) with -0.81%.
In the last week, the best performers were: Construction & Engineering with 9.25%, Industrial Machinery (6) with 4.51% and Publishing with 2.92%; the worst: Construction Machinery & Heavy Trucks with -4.18%, Application Software (4) with -2.36% and Regional Banks (2) with -2.06%.
Over the past month, the best performers were: Application Software (4) with 443.98%, Construction & Engineering with 28.24% and Industrial Machinery (6) with 4.45%; the worst: Regional Banks (2) with -9.25%, Food / Beverage & Tobacco - Packaged Foods & Meats (3) with -3.55% and Construction Machinery & Heavy Trucks with -1.68%.
For the past year, the best performers were: Application Software (4) with 231.98%, Industrial Machinery (6) with 29.2% and Construction Machinery & Heavy Trucks with 16.59%; the worst: Construction & Engineering with -43.69%, Food / Beverage & Tobacco - Packaged Foods & Meats (3) with -13.23% and Regional Banks (2) with -4.92%.
New highs and lows
One-year high : Basware Oyj
All-time low : Oriola-KD Oyj B
One-year low (2) : Oma Saastopankki Oyj and Neste Oil Oyj
Belgium: The 45 stocks analysed are 44.44% long and ended the trading day with a weighted daily change of -0.37% and a weekly change of 0.61%.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 22.22% of the total and a change of 2.1%, followed by the "Growth" group accounting for 24.44% and a change of 0.18% and the "Lack" group accounting for 53.33% and a change of -0.02%.
The change in the top 3 stock categories on 30th Apr are Biotechnology (3) with 12.6%, Residential REITs (2) with 2.58% and Real Estate Operating Companies (2) with 0.9%; at the bottom are Health Care Equipment with -2.16%, Diversified Chemicals (2) with -1.04% and Multi-Sector Holdings (2) with -0.44%.
In the last week, the best performers were: Biotechnology (3) with 21%, Residential REITs (2) with 6.55% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 1.89%; the worst: Health Care Equipment with -3.62%, Diversified Banks (2) with -1.75% and Diversified Chemicals (2) with -0.52%.
Over the past month, the best performers were: Diversified Chemicals (2) with 12.18%, Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 5.24% and Biotechnology (3) with 4.44%; the worst: Health Care Equipment with -6.53%, Real Estate Operating Companies (2) with -5.34% and Industrial REITs (2) with -2.01%.
For the past year, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 32.55%, Industrial REITs (2) with 14.38% and Diversified Banks (2) with 12.67%; the worst: Diversified Chemicals (2) with -49.54%, Health Care Equipment with -36.47% and Biotechnology (3) with -19.27%.
All-time high (2) : Lotus Bakeries and UCB SA
One-year high (2) : Ontex Group NV and Telenet Group Holding NV
Ranking
The change in the top 3 stock categories on 30th Apr are Biotechnology (3) with 12.6%, Residential REITs (2) with 2.58% and Real Estate Operating Companies (2) with 0.9%; at the bottom are Health Care Equipment with -2.16%, Diversified Chemicals (2) with -1.04% and Multi-Sector Holdings (2) with -0.44%.
In the last week, the best performers were: Biotechnology (3) with 21%, Residential REITs (2) with 6.55% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 1.89%; the worst: Health Care Equipment with -3.62%, Diversified Banks (2) with -1.75% and Diversified Chemicals (2) with -0.52%.
Over the past month, the best performers were: Diversified Chemicals (2) with 12.18%, Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 5.24% and Biotechnology (3) with 4.44%; the worst: Health Care Equipment with -6.53%, Real Estate Operating Companies (2) with -5.34% and Industrial REITs (2) with -2.01%.
For the past year, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 32.55%, Industrial REITs (2) with 14.38% and Diversified Banks (2) with 12.67%; the worst: Diversified Chemicals (2) with -49.54%, Health Care Equipment with -36.47% and Biotechnology (3) with -19.27%.
New highs
One-year high (2) : Ontex Group NV and Telenet Group Holding NV
Austria: The 29 stocks analysed are 55.17% long and ended the trading day with a weighted daily change of -0.35% and a weekly change of -0.22%.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 13.79% of the total and a change of 2.22%, followed by the "Lack" group accounting for 37.93% and a change of 0.05% and the "Value" group accounting for 48.28% and a change of -1.11%.
The change in the top 3 stock categories on 30th Apr are Real Estate Operating Companies (3) with 0.78%, Electric Utilities (2) with 0.78% and Multi-line Insurance (2) with -0.36%; at the bottom are Construction & Engineering (2) with -1.4%, Diversified Banks (3) with -1.19% and Industrial Machinery (2) with -1%.
In the last week, the best performers were: Electric Utilities (2) with 2.47%, Construction & Engineering (2) with 1.25% and Multi-line Insurance (2) with -0.28%; the worst: Industrial Machinery (2) with -4.75%, Diversified Banks (3) with -2.53% and Real Estate Operating Companies (3) with -0.51%.
Over the past month, the best performers were: Electric Utilities (2) with 11.12%, Multi-line Insurance (2) with 2.11% and Construction & Engineering (2) with 1.27%; the worst: Industrial Machinery (2) with -9.02%, Real Estate Operating Companies (3) with -2.1% and Diversified Banks (3) with -1%.
For the past year, the best performers were: Real Estate Operating Companies (3) with 40.7%, Diversified Banks (3) with 27.65% and Electric Utilities (2) with 9.96%; the worst: Industrial Machinery (2) with -30.26%.
We note that Erste Group Bank AG has made a new All-time high.
Ranking
The change in the top 3 stock categories on 30th Apr are Real Estate Operating Companies (3) with 0.78%, Electric Utilities (2) with 0.78% and Multi-line Insurance (2) with -0.36%; at the bottom are Construction & Engineering (2) with -1.4%, Diversified Banks (3) with -1.19% and Industrial Machinery (2) with -1%.
In the last week, the best performers were: Electric Utilities (2) with 2.47%, Construction & Engineering (2) with 1.25% and Multi-line Insurance (2) with -0.28%; the worst: Industrial Machinery (2) with -4.75%, Diversified Banks (3) with -2.53% and Real Estate Operating Companies (3) with -0.51%.
Over the past month, the best performers were: Electric Utilities (2) with 11.12%, Multi-line Insurance (2) with 2.11% and Construction & Engineering (2) with 1.27%; the worst: Industrial Machinery (2) with -9.02%, Real Estate Operating Companies (3) with -2.1% and Diversified Banks (3) with -1%.
For the past year, the best performers were: Real Estate Operating Companies (3) with 40.7%, Diversified Banks (3) with 27.65% and Electric Utilities (2) with 9.96%; the worst: Industrial Machinery (2) with -30.26%.
New highs
We note that Erste Group Bank AG has made a new All-time high.
Portugal: The 15 stocks analysed are 46.67% long and ended the trading day with a weighted daily change of -1.22% and a weekly change of -0.09%.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 20% of the total and a change of 0.45%, followed by the "Growth" group accounting for 26.67% and a change of 0.3% and the "Value" group accounting for 53.33% and a change of -0.46%.
The change in the top 2 stock categories on 30th Apr are Food & Staples Retailing - Food Retail (2) with -0.86%; at the bottom are Paper Products (3) with -1.39%.
In the last week, the best performers were: Food & Staples Retailing - Food Retail (2) with 2.18% and Paper Products (3) with 1.09%
Over the past month, the best performers were: Food & Staples Retailing - Food Retail (2) with 5.92%; the worst: Paper Products (3) with 2.27%.
For the past year, the best performers were: Paper Products (3) with 16.43%; the worst: Food & Staples Retailing - Food Retail (2) with -11.04% and Paper Products (3) with 16.43%.
All-time high (2) : Galp Energia SGPS S.A. and The Navigator Company SA
Ranking
The change in the top 2 stock categories on 30th Apr are Food & Staples Retailing - Food Retail (2) with -0.86%; at the bottom are Paper Products (3) with -1.39%.
In the last week, the best performers were: Food & Staples Retailing - Food Retail (2) with 2.18% and Paper Products (3) with 1.09%
Over the past month, the best performers were: Food & Staples Retailing - Food Retail (2) with 5.92%; the worst: Paper Products (3) with 2.27%.
For the past year, the best performers were: Paper Products (3) with 16.43%; the worst: Food & Staples Retailing - Food Retail (2) with -11.04% and Paper Products (3) with 16.43%.
New highs
Ireland: The 11 stocks analysed are 72.73% long and ended the trading day with a weighted daily change of -0.24% and a weekly change of -1.21%.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 45.45% of the total and a change of -0.68%, followed by the "Lack" group accounting for 27.27% and a change of -1.42% and the "Growth" group accounting for 27.27% and a change of -1.78%.
The change in the top 2 stock categories on 30th Apr are Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.24%; at the bottom are Diversified Banks (3) with -0.16%.
In the last week, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.34%; the worst: Diversified Banks (3) with -2.8% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.34%.
Over the past month, the best performers were: Diversified Banks (3) with 3.63% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with -0.14%
For the past year, the best performers were: Diversified Banks (3) with 22.22%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 2.95% and Diversified Banks (3) with 22.22%.
Ranking
The change in the top 2 stock categories on 30th Apr are Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.24%; at the bottom are Diversified Banks (3) with -0.16%.
In the last week, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.34%; the worst: Diversified Banks (3) with -2.8% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.34%.
Over the past month, the best performers were: Diversified Banks (3) with 3.63% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with -0.14%
For the past year, the best performers were: Diversified Banks (3) with 22.22%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 2.95% and Diversified Banks (3) with 22.22%.
Poland: The 11 stocks analysed are 36.36% long and ended the trading day with a weighted daily change of -1.2% and a weekly change of 0.36%.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 9.09% of the total and a change of 1.4%, followed by the "Value" group accounting for 54.55% and a change of 0.41% and the "Lack" group accounting for 36.36% and a change of -0.17%.
Ranking
Greece: The 7 stocks analysed are 100% long and ended the trading day with a weighted daily change of -0.12% and a weekly change of 0.24%.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 57.14% of the total and a change of 1.66%, followed by the "Growth" group accounting for 42.86% and a change of -1.53%.
Ranking
The 2953 Fund analysed are 79.65% long and ended the trading day with a weighted daily change of -0.23% and a weekly change of 0.57%.
There are 5 new buys (Aberdeen Standard Emerging Markets Smaller Companies, BlackRock Global Funds - World Mining, Fagus Multimanager International Bond, Legg Mason Brandywine Global Fixed Income Fund Premier Class US$ Accumulating and Templeton Frontier Markets) and 5 new sell (BlackRock Global Funds Asian High Yield Bond, Ninety One Global Strategy Emerging Markets Investment Grade Corporate Debt, Nordea 1 Stable Return, Nordea SEK Instituutiokorko and Seilern America)
Funds ranked by performance class had the best weekly returns with the "Growth" group accounting for 21.91% of the total and a change of 0.67%, followed by the "Lack" group accounting for 26.68% and a change of 0.64% and the "Value" group accounting for 51.41% and a change of 0.48%.
The change in the top 3 Fund categories on 30th Apr are Equity Turkey (4) with 1.63%, Equity Japan ESG (4) with 1.47% and Equity Japan (65) with 1.4%; at the bottom are Equity Emerging Europe (19) with -10%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.71%.
In the last week, the best performers were: Equity Turkey (4) with 5.41%, Equity Hong Kong (2) with 4.9% and Equity China (79) with 4.17%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.23% and Equity Eastern Europe (7) with -22.09%.
Over the past month, the best performers were: Equity Turkey (4) with 15.11%, Equity Sector Precious Metals (19) with 8.03% and Equity Hong Kong (2) with 6.61%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.3% and Equity Eastern Europe (7) with -22.28%.
For the past year, the best performers were: Equity Turkey (4) with 54.85%, Equity India (40) with 35.56% and Equity Sector Technology (59) with 30.1%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -19.62% and Equity Emerging Europe (19) with -16.59%.
New highs and lows
All-time high (267) : HSBC Global Investment Funds - Turkey Equity IC, HSBC Global Investment Funds Turkey Equity, AZ 1 Allocation Turkey, UBS Investor Selection Global Equity Long Short, BNP Paribas Funds Turkey EquityIR, BNP Paribas Funds Turkey Equity, Helium Helium Selection, MS INVF Japanese Equity, Wellington India Focus Equity GD, Prescient Global Funds PLC Osmosis MoRE World Resource Efficiency, Janus Henderson United Kingdom Absolute Return, Barings European Loan Tranche, Evli Emerging Frontier, Allianz Global Investors Volatility Strategy, DNCA Invest Eurose Class I shares EUR, CB Accent Swan Short Term High Yield, DNCA Invest Eurose, Schroder International Selection Fund Japanese Opportunities C Accumulation USD Hedged, Fidelity Funds India Focus, Lemanik High Growth Retail, Polar Capital Funds PLC - Polar Capital Japan Value Fund Class S Euro Hedged, Lemanik High Growth Inst in GB**, Albemarle Flexible, BGF India, BNP Paribas Funds Defensive Equity, Candriam Bonds Credit Opportunities, CB Accent Swan Ultra Short Term Bond, Candriam Long Short Credit Classique, GAM Multibond - ABS EUR B, Goldman Sachs India Equity, Aberdeen Standard Indian Equity, ...
One-year high (151) : BNP Paribas Funds Turkey EquityNR, Squad Capital Squad Europe Convictions, Aberdeen Standard Emerging Markets Smaller Companies, Carmignac Emerging Discovery, Echiquier Patrimoine, Finlabo Investments Dynamic Equity, JPMorgan Funds Financials Bond, Eurizon Investment Flexible Beta 2, Kairos International Italia, Soprarno Relative Value, Multipartner Konwave Gold Equity, Carmignac Credit, Fidelity Funds - Emerging Europe Middle East and Africa Fund Y-Acc-EUR, JPMorgan Investment Funds Income Opportunity, Schroder International Selection Emerging Europe, Candriam Absolute Return Equity Market Neutral, AZ F1 Alloc PIR Ita Excel 30% AAZ Acc, AZ F1 Alloc PIR Ita Excel 70% AAZ Acc, Invesco Funds Invesco Pan European Small Equity, NN Income, RAM Systematic Funds European Equities, UBS Equity European Opportunity Sustainable, UBS Equity Mid Caps Europe, Janus Henderson Horizon Pan European Smaller Companies, Aberdeen Standard Asian Smaller Companies, Aberdeen Standard Indian Equity, Pictet Sovereign Short Term Money Market, Agoraflex, Allianz Global Investors Best Styles Emerging Markets Equity, Allianz Obbligazioni Breve Termin, Amundi Oko Sozial Short Term Bond, ...
All-time low (25) : ACM Series ACM Canadian Corporate, Allianz Global Investors Dynamic Risk Parity W2, Barings Global Umbrella Barings Eastern Europe, Barings Global Umbrella Barings Eastern Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, Blackwall Platform ICAV Blackwall European Equity, BNP Paribas Funds Europe Emerging Equity, CANSOUL Fonds Hanf Aktien Global, CM Obli Internationales, Crelan Invest Lock In, CS Invm Fds 13 Credit Suisse Asia Local Currency Bond, Deka ConvergenceAktien, DWS Osteuropa, Goldman Sachs Liquid Reserves, Goldman Sachs Liquid Reserves Preferred, JPMorgan Liquidity Funds Liquidity, Kutxabank 0/100 Carteras, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, Templeton Global Bond, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (42) : Aberdeen Standard Emerging Markets Bond Fixed Maturity 2023, Arca Cedola 2021 Plus III, Arca Cedola 2021 Plus IV, Bankia Banca Privada Renta Fija Universal, Bankia Bonos 24 Meses Universal, Bankia Duracion Flexible 0 2 Universal, Bankia Index USA Cubierto Universal, Bankia Renta Fija CP Universal, BNP Paribas Strategy Europe Conservative, C+F Global Opportunities, Druid ICAV Druid Global Bonds, DWS Russia LC, Eastspring Investments Asian Property Securities, Fisher Investments Frontier Markets Equity, HSBC Global Investment Funds Russia Equity, HSBC Global Investment Funds Russia Equity, Janus Henderson Capital Funds plc INTECH US Core, JPMorgan Funds - Russia Fund C (acc) - USD, JPMorgan Funds Russia, Legg Mason Western Asset Emerging Markets Total Return Bond, Legg Mason Western Asset Emerging Markets Total Return Bond Premier, Lemanik International Funds VTB Capital IM Russia & CIS Debt, LFIS Vision Credit, Lombard Odier Funds III Capital Growth, M&G (Lux) Conservative Allocation Fund C EUR Acc, MainFirst Value Stars, NN Emerging Europe Equity, Nomura Asian Bonds Fonds, Ostrum Souverains Euro 3-5 I, PineBridge Global Funds Emerging Europe Equity, Pramerica Total Return Difensivo, ...
Signals
Ranking
The change in the top 3 Fund categories on 30th Apr are Equity Turkey (4) with 1.63%, Equity Japan ESG (4) with 1.47% and Equity Japan (65) with 1.4%; at the bottom are Equity Emerging Europe (19) with -10%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.71%.
In the last week, the best performers were: Equity Turkey (4) with 5.41%, Equity Hong Kong (2) with 4.9% and Equity China (79) with 4.17%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.23% and Equity Eastern Europe (7) with -22.09%.
Over the past month, the best performers were: Equity Turkey (4) with 15.11%, Equity Sector Precious Metals (19) with 8.03% and Equity Hong Kong (2) with 6.61%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.3% and Equity Eastern Europe (7) with -22.28%.
For the past year, the best performers were: Equity Turkey (4) with 54.85%, Equity India (40) with 35.56% and Equity Sector Technology (59) with 30.1%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -19.62% and Equity Emerging Europe (19) with -16.59%.
New highs and lows
One-year high (151) : BNP Paribas Funds Turkey EquityNR, Squad Capital Squad Europe Convictions, Aberdeen Standard Emerging Markets Smaller Companies, Carmignac Emerging Discovery, Echiquier Patrimoine, Finlabo Investments Dynamic Equity, JPMorgan Funds Financials Bond, Eurizon Investment Flexible Beta 2, Kairos International Italia, Soprarno Relative Value, Multipartner Konwave Gold Equity, Carmignac Credit, Fidelity Funds - Emerging Europe Middle East and Africa Fund Y-Acc-EUR, JPMorgan Investment Funds Income Opportunity, Schroder International Selection Emerging Europe, Candriam Absolute Return Equity Market Neutral, AZ F1 Alloc PIR Ita Excel 30% AAZ Acc, AZ F1 Alloc PIR Ita Excel 70% AAZ Acc, Invesco Funds Invesco Pan European Small Equity, NN Income, RAM Systematic Funds European Equities, UBS Equity European Opportunity Sustainable, UBS Equity Mid Caps Europe, Janus Henderson Horizon Pan European Smaller Companies, Aberdeen Standard Asian Smaller Companies, Aberdeen Standard Indian Equity, Pictet Sovereign Short Term Money Market, Agoraflex, Allianz Global Investors Best Styles Emerging Markets Equity, Allianz Obbligazioni Breve Termin, Amundi Oko Sozial Short Term Bond, ...
All-time low (25) : ACM Series ACM Canadian Corporate, Allianz Global Investors Dynamic Risk Parity W2, Barings Global Umbrella Barings Eastern Europe, Barings Global Umbrella Barings Eastern Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, Blackwall Platform ICAV Blackwall European Equity, BNP Paribas Funds Europe Emerging Equity, CANSOUL Fonds Hanf Aktien Global, CM Obli Internationales, Crelan Invest Lock In, CS Invm Fds 13 Credit Suisse Asia Local Currency Bond, Deka ConvergenceAktien, DWS Osteuropa, Goldman Sachs Liquid Reserves, Goldman Sachs Liquid Reserves Preferred, JPMorgan Liquidity Funds Liquidity, Kutxabank 0/100 Carteras, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, Templeton Global Bond, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (42) : Aberdeen Standard Emerging Markets Bond Fixed Maturity 2023, Arca Cedola 2021 Plus III, Arca Cedola 2021 Plus IV, Bankia Banca Privada Renta Fija Universal, Bankia Bonos 24 Meses Universal, Bankia Duracion Flexible 0 2 Universal, Bankia Index USA Cubierto Universal, Bankia Renta Fija CP Universal, BNP Paribas Strategy Europe Conservative, C+F Global Opportunities, Druid ICAV Druid Global Bonds, DWS Russia LC, Eastspring Investments Asian Property Securities, Fisher Investments Frontier Markets Equity, HSBC Global Investment Funds Russia Equity, HSBC Global Investment Funds Russia Equity, Janus Henderson Capital Funds plc INTECH US Core, JPMorgan Funds - Russia Fund C (acc) - USD, JPMorgan Funds Russia, Legg Mason Western Asset Emerging Markets Total Return Bond, Legg Mason Western Asset Emerging Markets Total Return Bond Premier, Lemanik International Funds VTB Capital IM Russia & CIS Debt, LFIS Vision Credit, Lombard Odier Funds III Capital Growth, M&G (Lux) Conservative Allocation Fund C EUR Acc, MainFirst Value Stars, NN Emerging Europe Equity, Nomura Asian Bonds Fonds, Ostrum Souverains Euro 3-5 I, PineBridge Global Funds Emerging Europe Equity, Pramerica Total Return Difensivo, ...
The 2463 Stock analysed are 41.45% long and ended the trading day with a weighted daily change of -0.43% and a weekly change of 2.28%.
There are 15 new buys (Amorepacific, BOC Hong Kong Holdings Ltd, China Travel International Investment Hong Kong Ltd, DnB ASA, FNM S.p.A., Industrial and Commercial Bank of China, Medacta Group SA, Newlat Food S.p.A, Nordic Semiconductor ASA, Randstad NV, Shenzhen Mindray Bio-Medical Electronics Co Ltd Class A, Stabilus S.A., Swedish Orphan Biovitrum AB publ, WashTec AG and Zall Group Ltd) and 12 new sell (Aktia Bank Abp, Autostrade Meridionali S.p.A, Banco Bilbao Vizcaya Argentaria SA, Focus Media Information Technology Co Ltd, Haitian International Holdings Ltd, Kesko Oyj, Medicine Man Technologies Inc, Porsche AG, Shenzhen Transsion Holdings Co Ltd, Stellantis N.V., Vocento and Ypsomed Holding AG). With the new changes, long positions will increase by 0.12%.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 51.28% of the total and a change of 3.22%, followed by the "Value" group accounting for 33.25% and a change of 1.66% and the "Growth" group accounting for 15.47% and a change of 1.31%.
The change in the top 3 Stock categories on 30th Apr are Education Services (38) with 27.42%, Application Software (160) with 18.95% and Asset Management & Custody Banks (136) with 8.17%; at the bottom are Transportation - Highways & Railtracks (12) with -4.12%, Home Furnishings (14) with -2.81% and Transportation - Marine (33) with -2.42%.
In the last week, the best performers were: Motorcycle Manufacturers (8) with 105.47%, Education Services (38) with 27.99% and Oil & Gas Exploration & Production (84) with 27%; the worst: Transportation - Road & Rail - Trucking (27) with -12.77%, Oil & Gas Equipment & Services (27) with -4.49% and Oil & Gas Refining & Marketing (32) with -4.15%.
Over the past month, the best performers were: Motorcycle Manufacturers (8) with 52.81%, Health Care Equipment (88) with 42.82% and Education Services (38) with 26.2%; the worst: Transportation - Road & Rail - Trucking (27) with -17.53%, Apparel Retail (25) with -8.9% and Oil & Gas Refining & Marketing (32) with -7.72%.
For the past year, the best performers were: Biotechnology (303) with 276.62%, Data Processing & Outsourced Services (31) with 65.26% and Automotive Retail (22) with 63.42%; the worst: Real Estate Development (74) with -43.95%, Metals & Mining - Precious Metals & Minerals (9) with -32.73% and Food & Staples Retailing - Drug Retail (6) with -31.35%.
New highs and lows
All-time high (105) : Plus500 Ltd, Kongsberg Gruppen ASA, Lotus Bakeries, Atlas Copco AB Series A, Watsco Inc, ABB Ltd, AstraZeneca PLC ADR, Vistra Energy Corp, Seagen Inc, Alfa Laval AB, Banca Popolare di Sondrio S.p.A., Dbs Group Holdings Ltd, CNOOC Ltd, UCB SA, Leidos Holdings Inc, China Shenhua Energy Co Ltd H, SOL S.p.A, Skjern Bank A/S, MedCap AB (publ), Trelleborg AB (publ), Mutares SE & Co. KGaA, Bank of Communications Co Ltd, Goldman Sachs Group Inc, HSBC Holdings PLC, Artemis Gold Inc, CACI International Inc, Nordnet AB, CSW Industrials Inc, Descartes Systems Group Inc, Bankinter, Banco di Desio e della Brianza S.p.A., ...
One-year high (167) : d Amico International Shipping S.A, BOC Hong Kong Holdings Ltd, Horizon Pharma PLC, Tele2 AB (publ), Golden Ocean Group Ltd, SITC International Holdings Co Ltd, Amorepacific, BPER Banca SpA, Deutsche Post AG, Banco de Sabadell S.A, Chemring Group PLC, China Hongqiao Group Ltd, TAG Immobilien AG, Gree Electric Appliances Inc of Zhuhai, Coca Cola HBC AG, Novozymes A/S, NN Group NV, COSCO SHIPPING Holdings Co Ltd, Eramet SA, Unipol Gruppo S.p.A., Compagnie Generale des Etablissements Michelin SCA, Telefonica, Southern Company, Splunk Inc, Telenor ASA, Kunlun Energy, Duke Energy Corporation, Banca IFIS, Pirelli & C SPA, Hera S.p.A, Evonik Industries AG, ...
All-time low (44) : Roto-Gro International Limited, Stavely Minerals Ltd, Sol Gel Technologies Ltd, Coro Energy PLC, Softec, Pluristem, Unique Fabricating Inc, Oxley Holdings Limited, Great Panther Mining Ltd, AYRO Inc, Blackstone Resources AG, FSD Pharma Inc Class B, Starpharma Holdings Ltd, Gequity SpA, ePRICE S.p.A., KI Group, Jervois Mining Ltd, Upland Software Inc, Eagle Pharmaceuticals Inc, Dubber Corp Ltd, Gamida Cell Ltd, Corus Entertainment Inc, Avaya Holdings Corp, Leoni Ag, Adler Group SA, Codere S.A, Eos Energy Enterprises Inc, PetMed Express Inc, Oriola-KD Oyj B, Shinsun Holdings Group Co Ltd, Cerence Inc, ...
One-year low (67) : Canada Silver Cobalt Works Inc, GTI Resources Ltd, NVP S.p.A, S H L Telemedicine Ltd, Fos SpA, Medical Developments International, Perfect Holding SA, Rovsing A/S, Honbridge Holdings Ltd, PPK Group Ltd, TherapeuticsMD Inc, Destination XL Group Inc, Boston Omaha Corporation, Andromeda Metals Ltd, Neenah Paper Inc, Meinian Onehealth Healthcare Holdings Co Ltd, Marathon Gold Corporation, Fingerprint Cards AB (publ), Glarner Kantonalbank, W&T Offshore Inc, Galapagos NV ADR, Omni Bridgeway Ltd, Ryerson Holding Corp, SK IE Technology Co Ltd, Oma Saastopankki Oyj, Core Lithium Ltd, Spin Master Corp, PIERER Mobility AG, TCS Group Holding PLC, CapitaLand Retail China Trust (, Allegiant Travel Company, ...
Signals
Ranking
The change in the top 3 Stock categories on 30th Apr are Education Services (38) with 27.42%, Application Software (160) with 18.95% and Asset Management & Custody Banks (136) with 8.17%; at the bottom are Transportation - Highways & Railtracks (12) with -4.12%, Home Furnishings (14) with -2.81% and Transportation - Marine (33) with -2.42%.
In the last week, the best performers were: Motorcycle Manufacturers (8) with 105.47%, Education Services (38) with 27.99% and Oil & Gas Exploration & Production (84) with 27%; the worst: Transportation - Road & Rail - Trucking (27) with -12.77%, Oil & Gas Equipment & Services (27) with -4.49% and Oil & Gas Refining & Marketing (32) with -4.15%.
Over the past month, the best performers were: Motorcycle Manufacturers (8) with 52.81%, Health Care Equipment (88) with 42.82% and Education Services (38) with 26.2%; the worst: Transportation - Road & Rail - Trucking (27) with -17.53%, Apparel Retail (25) with -8.9% and Oil & Gas Refining & Marketing (32) with -7.72%.
For the past year, the best performers were: Biotechnology (303) with 276.62%, Data Processing & Outsourced Services (31) with 65.26% and Automotive Retail (22) with 63.42%; the worst: Real Estate Development (74) with -43.95%, Metals & Mining - Precious Metals & Minerals (9) with -32.73% and Food & Staples Retailing - Drug Retail (6) with -31.35%.
New highs and lows
One-year high (167) : d Amico International Shipping S.A, BOC Hong Kong Holdings Ltd, Horizon Pharma PLC, Tele2 AB (publ), Golden Ocean Group Ltd, SITC International Holdings Co Ltd, Amorepacific, BPER Banca SpA, Deutsche Post AG, Banco de Sabadell S.A, Chemring Group PLC, China Hongqiao Group Ltd, TAG Immobilien AG, Gree Electric Appliances Inc of Zhuhai, Coca Cola HBC AG, Novozymes A/S, NN Group NV, COSCO SHIPPING Holdings Co Ltd, Eramet SA, Unipol Gruppo S.p.A., Compagnie Generale des Etablissements Michelin SCA, Telefonica, Southern Company, Splunk Inc, Telenor ASA, Kunlun Energy, Duke Energy Corporation, Banca IFIS, Pirelli & C SPA, Hera S.p.A, Evonik Industries AG, ...
All-time low (44) : Roto-Gro International Limited, Stavely Minerals Ltd, Sol Gel Technologies Ltd, Coro Energy PLC, Softec, Pluristem, Unique Fabricating Inc, Oxley Holdings Limited, Great Panther Mining Ltd, AYRO Inc, Blackstone Resources AG, FSD Pharma Inc Class B, Starpharma Holdings Ltd, Gequity SpA, ePRICE S.p.A., KI Group, Jervois Mining Ltd, Upland Software Inc, Eagle Pharmaceuticals Inc, Dubber Corp Ltd, Gamida Cell Ltd, Corus Entertainment Inc, Avaya Holdings Corp, Leoni Ag, Adler Group SA, Codere S.A, Eos Energy Enterprises Inc, PetMed Express Inc, Oriola-KD Oyj B, Shinsun Holdings Group Co Ltd, Cerence Inc, ...
One-year low (67) : Canada Silver Cobalt Works Inc, GTI Resources Ltd, NVP S.p.A, S H L Telemedicine Ltd, Fos SpA, Medical Developments International, Perfect Holding SA, Rovsing A/S, Honbridge Holdings Ltd, PPK Group Ltd, TherapeuticsMD Inc, Destination XL Group Inc, Boston Omaha Corporation, Andromeda Metals Ltd, Neenah Paper Inc, Meinian Onehealth Healthcare Holdings Co Ltd, Marathon Gold Corporation, Fingerprint Cards AB (publ), Glarner Kantonalbank, W&T Offshore Inc, Galapagos NV ADR, Omni Bridgeway Ltd, Ryerson Holding Corp, SK IE Technology Co Ltd, Oma Saastopankki Oyj, Core Lithium Ltd, Spin Master Corp, PIERER Mobility AG, TCS Group Holding PLC, CapitaLand Retail China Trust (, Allegiant Travel Company, ...
The 1193 Etf analysed are 75.44% long and ended the trading day with a weighted daily change of -0.3% and a weekly change of 0.31%.
There are 3 new sell (Invesco STOXX Europe 600 Optimised Automobiles & Parts, Lyxor MSCI Smart Cities ESG Filtered and UBS Irl Fund Solutions plc MSCI Emerging Markets). With the new changes, long positions will decrease by 0.25%.
Etfs ranked by performance class had the best weekly returns with the "Growth" group accounting for 30.26% of the total and a change of 0.63%, followed by the "Lack" group accounting for 24.73% and a change of 0.2% and the "Value" group accounting for 45.01% and a change of 0.1%.
The change in the top 3 Etf categories on 30th Apr are Equity Thematic (10) with 20.07%, Short-Commodity Precious Metals (4) with 2.4% and Equity Thematic Biotechnology (6) with 1.27%; at the bottom are Equity Russia with -3.64%, Equity Thematic Cannabis with -1.74% and Equity Pakistan (2) with -1.58%.
In the last week, the best performers were: Equity Thematic (10) with 20.51%, Equity Turkey (8) with 4.62% and Equity Hong Kong (2) with 4.08%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -25.31% and Equity Eastern Europe with -16.94%.
Over the past month, the best performers were: Equity Thematic (10) with 16.15%, Equity Turkey (8) with 12.02% and Commodity Industrial Metals (19) with 11.73%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -19.19% and Short-Commodity Industrial Metals (3) with -10.54%.
For the past year, the best performers were: Fixed Income Corporate (104) with 135.84%, Commodity Agriculture (28) with 74.46% and Equity Pakistan (2) with 64.24%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -56.13% and Equity Thematic Cannabis with -40.78%.
New highs and lows
All-time high (54) : Aberdeen New India Investment Trust Plc, iShares MSCI India, Amundi MSCI Nordic, Xtrackers Euro Stoxx 50, Lyxor MSCI India, Lyxor Euro Overnight Return, Lyxor MSCI India, Lyxor Smart Cash, Xtrackers II Overnight Rate Swap, Xtrackers II Overnight Rate Swap, Amundi Floating Rate EURO Corporate 1-3, iShares Core FTSE 100, iShares Usd Ultrashort Bond, Xtrackers II Overnight Rate Swap, iShares Usd Floating Rate Bond, SPDR MSCI Europe Small Value Weighted, Lyxor PEA Inde (MSCI India), Xtrackers II Overnight Rate Swap, Lyxor Core Morningstar UK NT, SPDR MSCI Emerging Markets Small, iShares VII PLC iShares FTSE 100, UBS MSCI United Kingdom, Amundi Floating Rate EURO Corporate 1-3, Xtrackers MSCI India Swap, Xtrackers Nifty 50 Swap, Vanguard FTSE 100, iShares Core FTSE 100 Hedged, iShares MSCI EM Small, iShares Asia Pacific Dividend, Amundi MSCI India, iShares VII PLC iShares MSCI UK, ...
One-year high (67) : WisdomTree Copper, iShares Core MSCI EM IMI, iShares Global Water, iShares IV Public Limited Company iShares MSCI EM IMI ESG Screened, Amundi MSCI Emerging Markets, SPDR MSCI EM Asia, iShares Core MSCI EM IMI, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Utilities Select Sector SPDR Fund, Xtrackers MSCI Emerging Markets, Hsbc Ftse 100, iShares Global Water, Xtrackers Stoxx Global Select Dividend 100 Swap, Amundi Index MSCI Emerging Markets, Amundi MSCI Em Asia, iShares EM Dividend, Vanguard FTSE Emerging Markets Distributing, iShares MSCI EM, PIMCO Sterling Short Maturity, Lyxor MSCI Emerging Markets, WisdomTree Copper Daily Hedged, iShares STOXX Europe Select Dividend 30, iShares MSCI EM IMI ESG Screened, Vanguard FTSE Emerging Markets, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Lyxor MSCI AC Asia Pacific Ex Japan, Lyxor MSCI Turkey, Multi Units Luxembourg Lyxor MSCI Emerging Markets Asia Fund, Xtrackers MSCI Emerging Markets Swap, iShares Core MSCI Emerging Markets IMI UCITS, Amundi MSCI EM Asia, ...
All-time low (17) : Xtrackers II - Japan Government Bond UCITS ETF, iShares MSCI Eastern Europe Capped, Lyxor MSCI Russia, 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, WisdomTree Long JPY Short, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, MULTI UNITS LUXEMBOURG Lyxor Euro Government Bond, Lyxor MSCI Russia, Lyxor S&P 500 VIX Futures Enhanced Roll and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (5) : Invesco RDX, WisdomTree Copper 1x Daily Short, WisdomTree Cotton, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF and Lyxor MSCI AC Asia Pacific Ex Japan
Signals
Ranking
The change in the top 3 Etf categories on 30th Apr are Equity Thematic (10) with 20.07%, Short-Commodity Precious Metals (4) with 2.4% and Equity Thematic Biotechnology (6) with 1.27%; at the bottom are Equity Russia with -3.64%, Equity Thematic Cannabis with -1.74% and Equity Pakistan (2) with -1.58%.
In the last week, the best performers were: Equity Thematic (10) with 20.51%, Equity Turkey (8) with 4.62% and Equity Hong Kong (2) with 4.08%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -25.31% and Equity Eastern Europe with -16.94%.
Over the past month, the best performers were: Equity Thematic (10) with 16.15%, Equity Turkey (8) with 12.02% and Commodity Industrial Metals (19) with 11.73%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -19.19% and Short-Commodity Industrial Metals (3) with -10.54%.
For the past year, the best performers were: Fixed Income Corporate (104) with 135.84%, Commodity Agriculture (28) with 74.46% and Equity Pakistan (2) with 64.24%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -56.13% and Equity Thematic Cannabis with -40.78%.
New highs and lows
One-year high (67) : WisdomTree Copper, iShares Core MSCI EM IMI, iShares Global Water, iShares IV Public Limited Company iShares MSCI EM IMI ESG Screened, Amundi MSCI Emerging Markets, SPDR MSCI EM Asia, iShares Core MSCI EM IMI, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Utilities Select Sector SPDR Fund, Xtrackers MSCI Emerging Markets, Hsbc Ftse 100, iShares Global Water, Xtrackers Stoxx Global Select Dividend 100 Swap, Amundi Index MSCI Emerging Markets, Amundi MSCI Em Asia, iShares EM Dividend, Vanguard FTSE Emerging Markets Distributing, iShares MSCI EM, PIMCO Sterling Short Maturity, Lyxor MSCI Emerging Markets, WisdomTree Copper Daily Hedged, iShares STOXX Europe Select Dividend 30, iShares MSCI EM IMI ESG Screened, Vanguard FTSE Emerging Markets, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Lyxor MSCI AC Asia Pacific Ex Japan, Lyxor MSCI Turkey, Multi Units Luxembourg Lyxor MSCI Emerging Markets Asia Fund, Xtrackers MSCI Emerging Markets Swap, iShares Core MSCI Emerging Markets IMI UCITS, Amundi MSCI EM Asia, ...
All-time low (17) : Xtrackers II - Japan Government Bond UCITS ETF, iShares MSCI Eastern Europe Capped, Lyxor MSCI Russia, 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, WisdomTree Long JPY Short, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, MULTI UNITS LUXEMBOURG Lyxor Euro Government Bond, Lyxor MSCI Russia, Lyxor S&P 500 VIX Futures Enhanced Roll and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (5) : Invesco RDX, WisdomTree Copper 1x Daily Short, WisdomTree Cotton, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF and Lyxor MSCI AC Asia Pacific Ex Japan
The 170 AIndex analysed are 79.41% long and ended the trading day with a weighted daily change of -0.48% and a weekly change of 0.15%.
There are 2 new buys (AIndex Electronic Equipment Instruments & Components - L10 and AIndex Stock EUR Growth - L10). With the new changes, long positions will increase by 1.18%.
There are also changes in the AIndexes: replacements in Biotechnology - L40, Genomic Revolution - L20 / L40, Health Care Equipment & Supplies - L40, Machinery - L10 / L20 / L40, Nasdaq Biotechnology - L40, Semiconductors & Semiconductor Equipment - L20 / L40, Stock EUR + USD Mix 50 / x 70, Stock USD Mix 20 / x 25 / x 40 and Stock USD Value - L10; new entries in Anti-Pandemic - L10 / L20, Biotechnology - L20, Building Products - L20, Cyber Security - L20, Funds OM EUR Risk 2/5 - L10, Funds OM EUR Risk 3/6 - L10, Genomic Revolution - L10, Italy PIR - Mid - L10 / L20, Italy PIR 30, London - L40, Netherlands - L20, Personal Products - L10, Pharmaceuticals - L20 / L40, Professional Services - L10 / L20, Road & Rail - L10 / L20, STOXX Europe 600 - EUR - L40, STOXX Europe 600 - Nordic - L40, Semiconductors & Semiconductor Equipment - L10, Stock USD + Etf Mix 60, Stock USD Value - L20, Video Game & eSport - L10 / L20 and World ESG Leader - L40; exits in Banks - L10 / L40, Beverages - L10 / L20, Biotechnology - L10, Capital Markets - L10 / L20 / L40, Construction & Engineering - L40, Crypto - BitStamp - L10, Crypto - Revolut - L10, Crypto - Top - L20, Deglobalization (Basic resources) - L10 / L40, Denmark - L40, Electronic Equipment Instruments & Components - L40, Energy Equipment & Services - L20, Etf USD Growth - L20 / L40, Food & Staples Retailing - L20, Future Mobility - L10 / L40, Global Conflict - L40, Hong Kong - L40, Hotels Restaurants & Leisure - L20 / L40, Interactive Media & Services - L20, Listed Private Equity - L40, Marine - L20, Media - L10 / L20 / L40, Metals & Mining - L10, NASDAQ 100 - L40, Nasdaq Biotechnology - L20, Oil Gas & Consumable Fuels - L40, Printing 3D - L20, Robotics & Artificial Intelligence - L40, S&P 500 + Nasdaq 100 - L10 / L20 / L40, S&P 500 - L20 / L40, Shipping - L10 / L20, Software - L20 / L40, Space Innovation - L20, Spain - L20 / L40, Stock EUR + USD Mix 60, Stock EUR Growth - L20, Stock EUR Mix 40 / x 60, Stock EUR Value - L40, Stock USD Growth - L40, Technology Hardware Storage & Peripherals - L20, US Large Cap ESG - L10 and World ESG Leader - L10.
New highs and lows
All-time high (2) : AIndex Aerospace & Defense - L20 and AIndex Marine - L10
One-year high (5) : AIndex Shipping - L20, AIndex Shipping - L10, AIndex Household Durables - L20, AIndex Marine - L20 and AIndex Hong Kong China Enterprises - L10
One-year low : AIndex Inflation Beneficiaries - L20
Signals
There are also changes in the AIndexes: replacements in Biotechnology - L40, Genomic Revolution - L20 / L40, Health Care Equipment & Supplies - L40, Machinery - L10 / L20 / L40, Nasdaq Biotechnology - L40, Semiconductors & Semiconductor Equipment - L20 / L40, Stock EUR + USD Mix 50 / x 70, Stock USD Mix 20 / x 25 / x 40 and Stock USD Value - L10; new entries in Anti-Pandemic - L10 / L20, Biotechnology - L20, Building Products - L20, Cyber Security - L20, Funds OM EUR Risk 2/5 - L10, Funds OM EUR Risk 3/6 - L10, Genomic Revolution - L10, Italy PIR - Mid - L10 / L20, Italy PIR 30, London - L40, Netherlands - L20, Personal Products - L10, Pharmaceuticals - L20 / L40, Professional Services - L10 / L20, Road & Rail - L10 / L20, STOXX Europe 600 - EUR - L40, STOXX Europe 600 - Nordic - L40, Semiconductors & Semiconductor Equipment - L10, Stock USD + Etf Mix 60, Stock USD Value - L20, Video Game & eSport - L10 / L20 and World ESG Leader - L40; exits in Banks - L10 / L40, Beverages - L10 / L20, Biotechnology - L10, Capital Markets - L10 / L20 / L40, Construction & Engineering - L40, Crypto - BitStamp - L10, Crypto - Revolut - L10, Crypto - Top - L20, Deglobalization (Basic resources) - L10 / L40, Denmark - L40, Electronic Equipment Instruments & Components - L40, Energy Equipment & Services - L20, Etf USD Growth - L20 / L40, Food & Staples Retailing - L20, Future Mobility - L10 / L40, Global Conflict - L40, Hong Kong - L40, Hotels Restaurants & Leisure - L20 / L40, Interactive Media & Services - L20, Listed Private Equity - L40, Marine - L20, Media - L10 / L20 / L40, Metals & Mining - L10, NASDAQ 100 - L40, Nasdaq Biotechnology - L20, Oil Gas & Consumable Fuels - L40, Printing 3D - L20, Robotics & Artificial Intelligence - L40, S&P 500 + Nasdaq 100 - L10 / L20 / L40, S&P 500 - L20 / L40, Shipping - L10 / L20, Software - L20 / L40, Space Innovation - L20, Spain - L20 / L40, Stock EUR + USD Mix 60, Stock EUR Growth - L20, Stock EUR Mix 40 / x 60, Stock EUR Value - L40, Stock USD Growth - L40, Technology Hardware Storage & Peripherals - L20, US Large Cap ESG - L10 and World ESG Leader - L10.
New highs and lows
One-year high (5) : AIndex Shipping - L20, AIndex Shipping - L10, AIndex Household Durables - L20, AIndex Marine - L20 and AIndex Hong Kong China Enterprises - L10
One-year low : AIndex Inflation Beneficiaries - L20
Markets close on 29th Apr
The 2512 Fund analysed are 83.64% long and ended the trading day with a weighted daily change of 0.21% and a weekly change of 0.89%.
There are 2 new buys (AZ 1 Allocation Conservative FoF and BNP Paribas Funds Local Emerging Bond) and 2 new sell (Candriam Bonds Diversified Dis and Carmignac Long Short European Equities)
Funds ranked by performance class had the best weekly returns with the "Growth" group accounting for 19.63% of the total and a change of 1.52%, followed by the "Value" group accounting for 57.88% and a change of 0.83% and the "Lack" group accounting for 22.49% and a change of 0.52%.
The change in the top 3 Fund categories on 29th Apr are Equity Turkey (4) with 1.63%, Equity Japan ESG (4) with 1.47% and Equity Japan (65) with 1.4%; at the bottom are Equity Emerging Europe (19) with -10%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.71%.
In the last week, the best performers were: Equity Turkey (4) with 5.41%, Equity Hong Kong (2) with 4.9% and Equity China (79) with 4.17%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.23% and Equity Eastern Europe (7) with -22.09%.
Over the past month, the best performers were: Equity Turkey (4) with 15.11%, Equity Sector Precious Metals (19) with 8.03% and Equity Hong Kong (2) with 6.61%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.3% and Equity Eastern Europe (7) with -22.28%.
For the past year, the best performers were: Equity Turkey (4) with 54.85%, Equity India (40) with 35.56% and Equity Sector Technology (59) with 30.1%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -19.62% and Equity Emerging Europe (19) with -16.59%.
New highs and lows
All-time high (267) : HSBC Global Investment Funds - Turkey Equity IC, HSBC Global Investment Funds Turkey Equity, AZ 1 Allocation Turkey, UBS Investor Selection Global Equity Long Short, BNP Paribas Funds Turkey EquityIR, BNP Paribas Funds Turkey Equity, Helium Helium Selection, MS INVF Japanese Equity, Wellington India Focus Equity GD, Prescient Global Funds PLC Osmosis MoRE World Resource Efficiency, Janus Henderson United Kingdom Absolute Return, Barings European Loan Tranche, Evli Emerging Frontier, Allianz Global Investors Volatility Strategy, DNCA Invest Eurose Class I shares EUR, CB Accent Swan Short Term High Yield, DNCA Invest Eurose, Schroder International Selection Fund Japanese Opportunities C Accumulation USD Hedged, Fidelity Funds India Focus, Lemanik High Growth Retail, Polar Capital Funds PLC - Polar Capital Japan Value Fund Class S Euro Hedged, Lemanik High Growth Inst in GB**, Albemarle Flexible, BGF India, BNP Paribas Funds Defensive Equity, Candriam Bonds Credit Opportunities, CB Accent Swan Ultra Short Term Bond, Candriam Long Short Credit Classique, GAM Multibond - ABS EUR B, Goldman Sachs India Equity, Aberdeen Standard Indian Equity, ...
One-year high (151) : BNP Paribas Funds Turkey EquityNR, Squad Capital Squad Europe Convictions, Aberdeen Standard Emerging Markets Smaller Companies, Carmignac Emerging Discovery, Echiquier Patrimoine, Finlabo Investments Dynamic Equity, JPMorgan Funds Financials Bond, Eurizon Investment Flexible Beta 2, Kairos International Italia, Soprarno Relative Value, Multipartner Konwave Gold Equity, Carmignac Credit, Fidelity Funds - Emerging Europe Middle East and Africa Fund Y-Acc-EUR, JPMorgan Investment Funds Income Opportunity, Schroder International Selection Emerging Europe, Candriam Absolute Return Equity Market Neutral, AZ F1 Alloc PIR Ita Excel 30% AAZ Acc, AZ F1 Alloc PIR Ita Excel 70% AAZ Acc, Invesco Funds Invesco Pan European Small Equity, NN Income, RAM Systematic Funds European Equities, UBS Equity European Opportunity Sustainable, UBS Equity Mid Caps Europe, Janus Henderson Horizon Pan European Smaller Companies, Aberdeen Standard Asian Smaller Companies, Aberdeen Standard Indian Equity, Pictet Sovereign Short Term Money Market, Agoraflex, Allianz Global Investors Best Styles Emerging Markets Equity, Allianz Obbligazioni Breve Termin, Amundi Oko Sozial Short Term Bond, ...
All-time low (25) : ACM Series ACM Canadian Corporate, Allianz Global Investors Dynamic Risk Parity W2, Barings Global Umbrella Barings Eastern Europe, Barings Global Umbrella Barings Eastern Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, Blackwall Platform ICAV Blackwall European Equity, BNP Paribas Funds Europe Emerging Equity, CANSOUL Fonds Hanf Aktien Global, CM Obli Internationales, Crelan Invest Lock In, CS Invm Fds 13 Credit Suisse Asia Local Currency Bond, Deka ConvergenceAktien, DWS Osteuropa, Goldman Sachs Liquid Reserves, Goldman Sachs Liquid Reserves Preferred, JPMorgan Liquidity Funds Liquidity, Kutxabank 0/100 Carteras, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, Templeton Global Bond, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (42) : Aberdeen Standard Emerging Markets Bond Fixed Maturity 2023, Arca Cedola 2021 Plus III, Arca Cedola 2021 Plus IV, Bankia Banca Privada Renta Fija Universal, Bankia Bonos 24 Meses Universal, Bankia Duracion Flexible 0 2 Universal, Bankia Index USA Cubierto Universal, Bankia Renta Fija CP Universal, BNP Paribas Strategy Europe Conservative, C+F Global Opportunities, Druid ICAV Druid Global Bonds, DWS Russia LC, Eastspring Investments Asian Property Securities, Fisher Investments Frontier Markets Equity, HSBC Global Investment Funds Russia Equity, HSBC Global Investment Funds Russia Equity, Janus Henderson Capital Funds plc INTECH US Core, JPMorgan Funds - Russia Fund C (acc) - USD, JPMorgan Funds Russia, Legg Mason Western Asset Emerging Markets Total Return Bond, Legg Mason Western Asset Emerging Markets Total Return Bond Premier, Lemanik International Funds VTB Capital IM Russia & CIS Debt, LFIS Vision Credit, Lombard Odier Funds III Capital Growth, M&G (Lux) Conservative Allocation Fund C EUR Acc, MainFirst Value Stars, NN Emerging Europe Equity, Nomura Asian Bonds Fonds, Ostrum Souverains Euro 3-5 I, PineBridge Global Funds Emerging Europe Equity, Pramerica Total Return Difensivo, ...
Signals
Ranking
The change in the top 3 Fund categories on 29th Apr are Equity Turkey (4) with 1.63%, Equity Japan ESG (4) with 1.47% and Equity Japan (65) with 1.4%; at the bottom are Equity Emerging Europe (19) with -10%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.71%.
In the last week, the best performers were: Equity Turkey (4) with 5.41%, Equity Hong Kong (2) with 4.9% and Equity China (79) with 4.17%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.23% and Equity Eastern Europe (7) with -22.09%.
Over the past month, the best performers were: Equity Turkey (4) with 15.11%, Equity Sector Precious Metals (19) with 8.03% and Equity Hong Kong (2) with 6.61%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.3% and Equity Eastern Europe (7) with -22.28%.
For the past year, the best performers were: Equity Turkey (4) with 54.85%, Equity India (40) with 35.56% and Equity Sector Technology (59) with 30.1%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -19.62% and Equity Emerging Europe (19) with -16.59%.
New highs and lows
One-year high (151) : BNP Paribas Funds Turkey EquityNR, Squad Capital Squad Europe Convictions, Aberdeen Standard Emerging Markets Smaller Companies, Carmignac Emerging Discovery, Echiquier Patrimoine, Finlabo Investments Dynamic Equity, JPMorgan Funds Financials Bond, Eurizon Investment Flexible Beta 2, Kairos International Italia, Soprarno Relative Value, Multipartner Konwave Gold Equity, Carmignac Credit, Fidelity Funds - Emerging Europe Middle East and Africa Fund Y-Acc-EUR, JPMorgan Investment Funds Income Opportunity, Schroder International Selection Emerging Europe, Candriam Absolute Return Equity Market Neutral, AZ F1 Alloc PIR Ita Excel 30% AAZ Acc, AZ F1 Alloc PIR Ita Excel 70% AAZ Acc, Invesco Funds Invesco Pan European Small Equity, NN Income, RAM Systematic Funds European Equities, UBS Equity European Opportunity Sustainable, UBS Equity Mid Caps Europe, Janus Henderson Horizon Pan European Smaller Companies, Aberdeen Standard Asian Smaller Companies, Aberdeen Standard Indian Equity, Pictet Sovereign Short Term Money Market, Agoraflex, Allianz Global Investors Best Styles Emerging Markets Equity, Allianz Obbligazioni Breve Termin, Amundi Oko Sozial Short Term Bond, ...
All-time low (25) : ACM Series ACM Canadian Corporate, Allianz Global Investors Dynamic Risk Parity W2, Barings Global Umbrella Barings Eastern Europe, Barings Global Umbrella Barings Eastern Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, Blackwall Platform ICAV Blackwall European Equity, BNP Paribas Funds Europe Emerging Equity, CANSOUL Fonds Hanf Aktien Global, CM Obli Internationales, Crelan Invest Lock In, CS Invm Fds 13 Credit Suisse Asia Local Currency Bond, Deka ConvergenceAktien, DWS Osteuropa, Goldman Sachs Liquid Reserves, Goldman Sachs Liquid Reserves Preferred, JPMorgan Liquidity Funds Liquidity, Kutxabank 0/100 Carteras, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, Templeton Global Bond, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (42) : Aberdeen Standard Emerging Markets Bond Fixed Maturity 2023, Arca Cedola 2021 Plus III, Arca Cedola 2021 Plus IV, Bankia Banca Privada Renta Fija Universal, Bankia Bonos 24 Meses Universal, Bankia Duracion Flexible 0 2 Universal, Bankia Index USA Cubierto Universal, Bankia Renta Fija CP Universal, BNP Paribas Strategy Europe Conservative, C+F Global Opportunities, Druid ICAV Druid Global Bonds, DWS Russia LC, Eastspring Investments Asian Property Securities, Fisher Investments Frontier Markets Equity, HSBC Global Investment Funds Russia Equity, HSBC Global Investment Funds Russia Equity, Janus Henderson Capital Funds plc INTECH US Core, JPMorgan Funds - Russia Fund C (acc) - USD, JPMorgan Funds Russia, Legg Mason Western Asset Emerging Markets Total Return Bond, Legg Mason Western Asset Emerging Markets Total Return Bond Premier, Lemanik International Funds VTB Capital IM Russia & CIS Debt, LFIS Vision Credit, Lombard Odier Funds III Capital Growth, M&G (Lux) Conservative Allocation Fund C EUR Acc, MainFirst Value Stars, NN Emerging Europe Equity, Nomura Asian Bonds Fonds, Ostrum Souverains Euro 3-5 I, PineBridge Global Funds Emerging Europe Equity, Pramerica Total Return Difensivo, ...
Markets close on 26th Apr
The 161 Fund analysed are 88.2% long and ended the trading day with a weighted daily change of 0.71% and a weekly change of 1.08%.
Funds ranked by performance class had the best weekly returns with the "Growth" group accounting for 16.77% of the total and a change of 1.95%, followed by the "Value" group accounting for 67.7% and a change of 1.03% and the "Lack" group accounting for 15.53% and a change of 0.39%.
The change in the top 3 Fund categories on 26th Apr are Equity Turkey (4) with 1.63%, Equity Japan ESG (4) with 1.47% and Equity Japan (65) with 1.4%; at the bottom are Equity Emerging Europe (19) with -10%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.71%.
In the last week, the best performers were: Equity Turkey (4) with 5.41%, Equity Hong Kong (2) with 4.9% and Equity China (79) with 4.17%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.23% and Equity Eastern Europe (7) with -22.09%.
Over the past month, the best performers were: Equity Turkey (4) with 15.11%, Equity Sector Precious Metals (19) with 8.03% and Equity Hong Kong (2) with 6.61%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.3% and Equity Eastern Europe (7) with -22.28%.
For the past year, the best performers were: Equity Turkey (4) with 54.85%, Equity India (40) with 35.56% and Equity Sector Technology (59) with 30.1%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -19.62% and Equity Emerging Europe (19) with -16.59%.
New highs and lows
All-time high (267) : HSBC Global Investment Funds - Turkey Equity IC, HSBC Global Investment Funds Turkey Equity, AZ 1 Allocation Turkey, UBS Investor Selection Global Equity Long Short, BNP Paribas Funds Turkey EquityIR, BNP Paribas Funds Turkey Equity, Helium Helium Selection, MS INVF Japanese Equity, Wellington India Focus Equity GD, Prescient Global Funds PLC Osmosis MoRE World Resource Efficiency, Janus Henderson United Kingdom Absolute Return, Barings European Loan Tranche, Evli Emerging Frontier, Allianz Global Investors Volatility Strategy, DNCA Invest Eurose Class I shares EUR, CB Accent Swan Short Term High Yield, DNCA Invest Eurose, Schroder International Selection Fund Japanese Opportunities C Accumulation USD Hedged, Fidelity Funds India Focus, Lemanik High Growth Retail, Polar Capital Funds PLC - Polar Capital Japan Value Fund Class S Euro Hedged, Lemanik High Growth Inst in GB**, Albemarle Flexible, BGF India, BNP Paribas Funds Defensive Equity, Candriam Bonds Credit Opportunities, CB Accent Swan Ultra Short Term Bond, Candriam Long Short Credit Classique, GAM Multibond - ABS EUR B, Goldman Sachs India Equity, Aberdeen Standard Indian Equity, ...
One-year high (151) : BNP Paribas Funds Turkey EquityNR, Squad Capital Squad Europe Convictions, Aberdeen Standard Emerging Markets Smaller Companies, Carmignac Emerging Discovery, Echiquier Patrimoine, Finlabo Investments Dynamic Equity, JPMorgan Funds Financials Bond, Eurizon Investment Flexible Beta 2, Kairos International Italia, Soprarno Relative Value, Multipartner Konwave Gold Equity, Carmignac Credit, Fidelity Funds - Emerging Europe Middle East and Africa Fund Y-Acc-EUR, JPMorgan Investment Funds Income Opportunity, Schroder International Selection Emerging Europe, Candriam Absolute Return Equity Market Neutral, AZ F1 Alloc PIR Ita Excel 30% AAZ Acc, AZ F1 Alloc PIR Ita Excel 70% AAZ Acc, Invesco Funds Invesco Pan European Small Equity, NN Income, RAM Systematic Funds European Equities, UBS Equity European Opportunity Sustainable, UBS Equity Mid Caps Europe, Janus Henderson Horizon Pan European Smaller Companies, Aberdeen Standard Asian Smaller Companies, Aberdeen Standard Indian Equity, Pictet Sovereign Short Term Money Market, Agoraflex, Allianz Global Investors Best Styles Emerging Markets Equity, Allianz Obbligazioni Breve Termin, Amundi Oko Sozial Short Term Bond, ...
All-time low (25) : ACM Series ACM Canadian Corporate, Allianz Global Investors Dynamic Risk Parity W2, Barings Global Umbrella Barings Eastern Europe, Barings Global Umbrella Barings Eastern Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, Blackwall Platform ICAV Blackwall European Equity, BNP Paribas Funds Europe Emerging Equity, CANSOUL Fonds Hanf Aktien Global, CM Obli Internationales, Crelan Invest Lock In, CS Invm Fds 13 Credit Suisse Asia Local Currency Bond, Deka ConvergenceAktien, DWS Osteuropa, Goldman Sachs Liquid Reserves, Goldman Sachs Liquid Reserves Preferred, JPMorgan Liquidity Funds Liquidity, Kutxabank 0/100 Carteras, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, Templeton Global Bond, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (42) : Aberdeen Standard Emerging Markets Bond Fixed Maturity 2023, Arca Cedola 2021 Plus III, Arca Cedola 2021 Plus IV, Bankia Banca Privada Renta Fija Universal, Bankia Bonos 24 Meses Universal, Bankia Duracion Flexible 0 2 Universal, Bankia Index USA Cubierto Universal, Bankia Renta Fija CP Universal, BNP Paribas Strategy Europe Conservative, C+F Global Opportunities, Druid ICAV Druid Global Bonds, DWS Russia LC, Eastspring Investments Asian Property Securities, Fisher Investments Frontier Markets Equity, HSBC Global Investment Funds Russia Equity, HSBC Global Investment Funds Russia Equity, Janus Henderson Capital Funds plc INTECH US Core, JPMorgan Funds - Russia Fund C (acc) - USD, JPMorgan Funds Russia, Legg Mason Western Asset Emerging Markets Total Return Bond, Legg Mason Western Asset Emerging Markets Total Return Bond Premier, Lemanik International Funds VTB Capital IM Russia & CIS Debt, LFIS Vision Credit, Lombard Odier Funds III Capital Growth, M&G (Lux) Conservative Allocation Fund C EUR Acc, MainFirst Value Stars, NN Emerging Europe Equity, Nomura Asian Bonds Fonds, Ostrum Souverains Euro 3-5 I, PineBridge Global Funds Emerging Europe Equity, Pramerica Total Return Difensivo, ...
Ranking
The change in the top 3 Fund categories on 26th Apr are Equity Turkey (4) with 1.63%, Equity Japan ESG (4) with 1.47% and Equity Japan (65) with 1.4%; at the bottom are Equity Emerging Europe (19) with -10%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.71%.
In the last week, the best performers were: Equity Turkey (4) with 5.41%, Equity Hong Kong (2) with 4.9% and Equity China (79) with 4.17%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.23% and Equity Eastern Europe (7) with -22.09%.
Over the past month, the best performers were: Equity Turkey (4) with 15.11%, Equity Sector Precious Metals (19) with 8.03% and Equity Hong Kong (2) with 6.61%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.3% and Equity Eastern Europe (7) with -22.28%.
For the past year, the best performers were: Equity Turkey (4) with 54.85%, Equity India (40) with 35.56% and Equity Sector Technology (59) with 30.1%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -19.62% and Equity Emerging Europe (19) with -16.59%.
New highs and lows
One-year high (151) : BNP Paribas Funds Turkey EquityNR, Squad Capital Squad Europe Convictions, Aberdeen Standard Emerging Markets Smaller Companies, Carmignac Emerging Discovery, Echiquier Patrimoine, Finlabo Investments Dynamic Equity, JPMorgan Funds Financials Bond, Eurizon Investment Flexible Beta 2, Kairos International Italia, Soprarno Relative Value, Multipartner Konwave Gold Equity, Carmignac Credit, Fidelity Funds - Emerging Europe Middle East and Africa Fund Y-Acc-EUR, JPMorgan Investment Funds Income Opportunity, Schroder International Selection Emerging Europe, Candriam Absolute Return Equity Market Neutral, AZ F1 Alloc PIR Ita Excel 30% AAZ Acc, AZ F1 Alloc PIR Ita Excel 70% AAZ Acc, Invesco Funds Invesco Pan European Small Equity, NN Income, RAM Systematic Funds European Equities, UBS Equity European Opportunity Sustainable, UBS Equity Mid Caps Europe, Janus Henderson Horizon Pan European Smaller Companies, Aberdeen Standard Asian Smaller Companies, Aberdeen Standard Indian Equity, Pictet Sovereign Short Term Money Market, Agoraflex, Allianz Global Investors Best Styles Emerging Markets Equity, Allianz Obbligazioni Breve Termin, Amundi Oko Sozial Short Term Bond, ...
All-time low (25) : ACM Series ACM Canadian Corporate, Allianz Global Investors Dynamic Risk Parity W2, Barings Global Umbrella Barings Eastern Europe, Barings Global Umbrella Barings Eastern Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, BlackRock Global Funds Emerging Europe, Blackwall Platform ICAV Blackwall European Equity, BNP Paribas Funds Europe Emerging Equity, CANSOUL Fonds Hanf Aktien Global, CM Obli Internationales, Crelan Invest Lock In, CS Invm Fds 13 Credit Suisse Asia Local Currency Bond, Deka ConvergenceAktien, DWS Osteuropa, Goldman Sachs Liquid Reserves, Goldman Sachs Liquid Reserves Preferred, JPMorgan Liquidity Funds Liquidity, Kutxabank 0/100 Carteras, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, Templeton Global Bond, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (42) : Aberdeen Standard Emerging Markets Bond Fixed Maturity 2023, Arca Cedola 2021 Plus III, Arca Cedola 2021 Plus IV, Bankia Banca Privada Renta Fija Universal, Bankia Bonos 24 Meses Universal, Bankia Duracion Flexible 0 2 Universal, Bankia Index USA Cubierto Universal, Bankia Renta Fija CP Universal, BNP Paribas Strategy Europe Conservative, C+F Global Opportunities, Druid ICAV Druid Global Bonds, DWS Russia LC, Eastspring Investments Asian Property Securities, Fisher Investments Frontier Markets Equity, HSBC Global Investment Funds Russia Equity, HSBC Global Investment Funds Russia Equity, Janus Henderson Capital Funds plc INTECH US Core, JPMorgan Funds - Russia Fund C (acc) - USD, JPMorgan Funds Russia, Legg Mason Western Asset Emerging Markets Total Return Bond, Legg Mason Western Asset Emerging Markets Total Return Bond Premier, Lemanik International Funds VTB Capital IM Russia & CIS Debt, LFIS Vision Credit, Lombard Odier Funds III Capital Growth, M&G (Lux) Conservative Allocation Fund C EUR Acc, MainFirst Value Stars, NN Emerging Europe Equity, Nomura Asian Bonds Fonds, Ostrum Souverains Euro 3-5 I, PineBridge Global Funds Emerging Europe Equity, Pramerica Total Return Difensivo, ...
The 63 Etf analysed are 73.02% long and ended the trading day with a weighted daily change of 1.02% and a weekly change of 1.52%.
There is one new buy (Xtrackers MSCI Malaysia). With the new changes, long positions will increase by 1.59%.
Etfs ranked by performance class had the best weekly returns with the "Value" group accounting for 47.62% of the total and a change of 1.78%, followed by the "Growth" group accounting for 28.57% and a change of 1.76% and the "Lack" group accounting for 23.81% and a change of 0.37%.
The change in the top 3 Etf categories on 26th Apr are Equity Thematic (10) with 20.07%, Short-Commodity Precious Metals (4) with 2.4% and Equity Thematic Biotechnology (6) with 1.27%; at the bottom are Equity Russia with -3.64%, Equity Thematic Cannabis with -1.74% and Equity Pakistan (2) with -1.58%.
In the last week, the best performers were: Equity Thematic (10) with 20.51%, Equity Turkey (8) with 4.62% and Equity Hong Kong (2) with 4.08%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -25.31% and Equity Eastern Europe with -16.94%.
Over the past month, the best performers were: Equity Thematic (10) with 16.15%, Equity Turkey (8) with 12.02% and Commodity Industrial Metals (19) with 11.73%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -19.19% and Short-Commodity Industrial Metals (3) with -10.54%.
For the past year, the best performers were: Fixed Income Corporate (104) with 135.84%, Commodity Agriculture (28) with 74.46% and Equity Pakistan (2) with 64.24%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -56.13% and Equity Thematic Cannabis with -40.78%.
New highs and lows
All-time high (54) : Aberdeen New India Investment Trust Plc, iShares MSCI India, Amundi MSCI Nordic, Xtrackers Euro Stoxx 50, Lyxor MSCI India, Lyxor Euro Overnight Return, Lyxor MSCI India, Lyxor Smart Cash, Xtrackers II Overnight Rate Swap, Xtrackers II Overnight Rate Swap, Amundi Floating Rate EURO Corporate 1-3, iShares Core FTSE 100, iShares Usd Ultrashort Bond, Xtrackers II Overnight Rate Swap, iShares Usd Floating Rate Bond, SPDR MSCI Europe Small Value Weighted, Lyxor PEA Inde (MSCI India), Xtrackers II Overnight Rate Swap, Lyxor Core Morningstar UK NT, SPDR MSCI Emerging Markets Small, iShares VII PLC iShares FTSE 100, UBS MSCI United Kingdom, Amundi Floating Rate EURO Corporate 1-3, Xtrackers MSCI India Swap, Xtrackers Nifty 50 Swap, Vanguard FTSE 100, iShares Core FTSE 100 Hedged, iShares MSCI EM Small, iShares Asia Pacific Dividend, Amundi MSCI India, iShares VII PLC iShares MSCI UK, ...
One-year high (67) : WisdomTree Copper, iShares Core MSCI EM IMI, iShares Global Water, iShares IV Public Limited Company iShares MSCI EM IMI ESG Screened, Amundi MSCI Emerging Markets, SPDR MSCI EM Asia, iShares Core MSCI EM IMI, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Utilities Select Sector SPDR Fund, Xtrackers MSCI Emerging Markets, Hsbc Ftse 100, iShares Global Water, Xtrackers Stoxx Global Select Dividend 100 Swap, Amundi Index MSCI Emerging Markets, Amundi MSCI Em Asia, iShares EM Dividend, Vanguard FTSE Emerging Markets Distributing, iShares MSCI EM, PIMCO Sterling Short Maturity, Lyxor MSCI Emerging Markets, WisdomTree Copper Daily Hedged, iShares STOXX Europe Select Dividend 30, iShares MSCI EM IMI ESG Screened, Vanguard FTSE Emerging Markets, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Lyxor MSCI AC Asia Pacific Ex Japan, Lyxor MSCI Turkey, Multi Units Luxembourg Lyxor MSCI Emerging Markets Asia Fund, Xtrackers MSCI Emerging Markets Swap, iShares Core MSCI Emerging Markets IMI UCITS, Amundi MSCI EM Asia, ...
All-time low (17) : Xtrackers II - Japan Government Bond UCITS ETF, iShares MSCI Eastern Europe Capped, Lyxor MSCI Russia, 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, WisdomTree Long JPY Short, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, MULTI UNITS LUXEMBOURG Lyxor Euro Government Bond, Lyxor MSCI Russia, Lyxor S&P 500 VIX Futures Enhanced Roll and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (5) : Invesco RDX, WisdomTree Copper 1x Daily Short, WisdomTree Cotton, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF and Lyxor MSCI AC Asia Pacific Ex Japan
Signals
Ranking
The change in the top 3 Etf categories on 26th Apr are Equity Thematic (10) with 20.07%, Short-Commodity Precious Metals (4) with 2.4% and Equity Thematic Biotechnology (6) with 1.27%; at the bottom are Equity Russia with -3.64%, Equity Thematic Cannabis with -1.74% and Equity Pakistan (2) with -1.58%.
In the last week, the best performers were: Equity Thematic (10) with 20.51%, Equity Turkey (8) with 4.62% and Equity Hong Kong (2) with 4.08%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -25.31% and Equity Eastern Europe with -16.94%.
Over the past month, the best performers were: Equity Thematic (10) with 16.15%, Equity Turkey (8) with 12.02% and Commodity Industrial Metals (19) with 11.73%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -19.19% and Short-Commodity Industrial Metals (3) with -10.54%.
For the past year, the best performers were: Fixed Income Corporate (104) with 135.84%, Commodity Agriculture (28) with 74.46% and Equity Pakistan (2) with 64.24%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -56.13% and Equity Thematic Cannabis with -40.78%.
New highs and lows
One-year high (67) : WisdomTree Copper, iShares Core MSCI EM IMI, iShares Global Water, iShares IV Public Limited Company iShares MSCI EM IMI ESG Screened, Amundi MSCI Emerging Markets, SPDR MSCI EM Asia, iShares Core MSCI EM IMI, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Utilities Select Sector SPDR Fund, Xtrackers MSCI Emerging Markets, Hsbc Ftse 100, iShares Global Water, Xtrackers Stoxx Global Select Dividend 100 Swap, Amundi Index MSCI Emerging Markets, Amundi MSCI Em Asia, iShares EM Dividend, Vanguard FTSE Emerging Markets Distributing, iShares MSCI EM, PIMCO Sterling Short Maturity, Lyxor MSCI Emerging Markets, WisdomTree Copper Daily Hedged, iShares STOXX Europe Select Dividend 30, iShares MSCI EM IMI ESG Screened, Vanguard FTSE Emerging Markets, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Lyxor MSCI AC Asia Pacific Ex Japan, Lyxor MSCI Turkey, Multi Units Luxembourg Lyxor MSCI Emerging Markets Asia Fund, Xtrackers MSCI Emerging Markets Swap, iShares Core MSCI Emerging Markets IMI UCITS, Amundi MSCI EM Asia, ...
All-time low (17) : Xtrackers II - Japan Government Bond UCITS ETF, iShares MSCI Eastern Europe Capped, Lyxor MSCI Russia, 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, WisdomTree Long JPY Short, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, MULTI UNITS LUXEMBOURG Lyxor Euro Government Bond, Lyxor MSCI Russia, Lyxor S&P 500 VIX Futures Enhanced Roll and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (5) : Invesco RDX, WisdomTree Copper 1x Daily Short, WisdomTree Cotton, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF and Lyxor MSCI AC Asia Pacific Ex Japan