Top 10 Aindexes
1) AIndex Health Care Equipment & Supplies - L10 with Fisher & Paykel Healthcare Corporation Limited, Resmed Inc DRC and DexCom Inc
2) AIndex Semiconductors & Semiconductor Equipment - L20 with Elmos Semiconductor SE, Taiwan Semiconductor Manufacturing and Semtech Corporation
3) AIndex Beverages - L10 with Harboes Bryggeri A/S, Treasury Wine Estates Ltd and Coca Cola HBC AG
4) AIndex Digital Infrastructure & 5G - L10 with Microchip Technology Inc, Analog Devices Inc and Crowdstrike Holdings Inc
5) AIndex Spain - L10 with Laboratorios Farmaceuticos ROVI, Atresmedia Corporacion de Medios de Comunicacion S.A. and Clinica Baviera
6) AIndex World ESG Leader - L10 with Tyler Technologies Inc, Rollins Inc and Evolution Mining Ltd
7) AIndex Robotics & Artificial Intelligence - L10 with Lattice Semiconductor Corporation, NXP Semiconductors NV and Emerson Electric Company
8) AIndex Oil Gas & Consumable Fuels - L10 with CropEnergies AG, CNOOC Ltd and Enbridge Inc
9) AIndex Wood & Paper - L10 with West Fraser Timber Co Ltd, The Navigator Company SA and Graphic Packaging Holding Company
10) AIndex Marine - L10 with Kirby Corporation, SITC International Holdings Co Ltd and MPC Container Ships ASA
2) AIndex Semiconductors & Semiconductor Equipment - L20 with Elmos Semiconductor SE, Taiwan Semiconductor Manufacturing and Semtech Corporation
3) AIndex Beverages - L10 with Harboes Bryggeri A/S, Treasury Wine Estates Ltd and Coca Cola HBC AG
4) AIndex Digital Infrastructure & 5G - L10 with Microchip Technology Inc, Analog Devices Inc and Crowdstrike Holdings Inc
5) AIndex Spain - L10 with Laboratorios Farmaceuticos ROVI, Atresmedia Corporacion de Medios de Comunicacion S.A. and Clinica Baviera
6) AIndex World ESG Leader - L10 with Tyler Technologies Inc, Rollins Inc and Evolution Mining Ltd
7) AIndex Robotics & Artificial Intelligence - L10 with Lattice Semiconductor Corporation, NXP Semiconductors NV and Emerson Electric Company
8) AIndex Oil Gas & Consumable Fuels - L10 with CropEnergies AG, CNOOC Ltd and Enbridge Inc
9) AIndex Wood & Paper - L10 with West Fraser Timber Co Ltd, The Navigator Company SA and Graphic Packaging Holding Company
10) AIndex Marine - L10 with Kirby Corporation, SITC International Holdings Co Ltd and MPC Container Ships ASA
1) AIndex Crypto - Top - L10 with Theta Fuel, Aave and XRP
2) AIndex Marine - L10 with MPC Container Ships ASA, Kirby Corporation and Pacific Basin Shipping Ltd
3) AIndex Consumer Finance - L10 with Ally Financial Inc, OneMain Holdings Inc and Capital One Financial Corporation
4) AIndex Global Infrastructure - L10 with Mueller Industries Inc, Energy Transfer LP and Kunlun Energy
5) AIndex Multi-Utilities - L20 with Hera S.p.A, AGL Energy Ltd and A2A S.p.A
6) AIndex Beverages - L10 with Royal Unibrew A/S, Harboes Bryggeri A/S and Coca Cola HBC AG
7) AIndex Building Products - L10 with Munters Group AB, Apogee Enterprises Inc and Trane Technologies plc
8) AIndex Agribusiness - L10 with Japfa Ltd., Associated British Foods PLC and Vital Farms Inc
9) AIndex Airlines - L10 with International Consolidated Airlines Group S.A, SkyWest Inc and Qantas Airways Ltd
10) AIndex Household Products - L10 with Kimberly-Clark Corporation, Henkel AG & Co. KGaA vz. (Pref Shares) and Procter & Gamble Company
2) AIndex Marine - L10 with MPC Container Ships ASA, Kirby Corporation and Pacific Basin Shipping Ltd
3) AIndex Consumer Finance - L10 with Ally Financial Inc, OneMain Holdings Inc and Capital One Financial Corporation
4) AIndex Global Infrastructure - L10 with Mueller Industries Inc, Energy Transfer LP and Kunlun Energy
5) AIndex Multi-Utilities - L20 with Hera S.p.A, AGL Energy Ltd and A2A S.p.A
6) AIndex Beverages - L10 with Royal Unibrew A/S, Harboes Bryggeri A/S and Coca Cola HBC AG
7) AIndex Building Products - L10 with Munters Group AB, Apogee Enterprises Inc and Trane Technologies plc
8) AIndex Agribusiness - L10 with Japfa Ltd., Associated British Foods PLC and Vital Farms Inc
9) AIndex Airlines - L10 with International Consolidated Airlines Group S.A, SkyWest Inc and Qantas Airways Ltd
10) AIndex Household Products - L10 with Kimberly-Clark Corporation, Henkel AG & Co. KGaA vz. (Pref Shares) and Procter & Gamble Company
1) AIndex Marine - L10 with MPC Container Ships ASA, SITC International Holdings Co Ltd and Wallenius Wilhelmsen Logistics ASA
2) AIndex Global Gold & Silver Miners - L10 with Gatos Silver Inc, Lundin Mining Corporation and Victoria Gold Corp
3) AIndex Metals & Mining - L10 with Pan American Silver Corp, Boliden AB and Century Aluminum Company
4) AIndex Global Infrastructure - L10 with Mueller Industries Inc, Kunlun Energy and Energy Transfer LP
5) AIndex Listed Private Equity - L10 with Mutares SE & Co. KGaA, MedCap AB (publ) and Capital Southwest Corporation
6) AIndex Hong Kong China Enterprises - L10 with Xiaomi Corp, Agricultural Bank Of China and China Petroleum & Chemical Corp Class H
7) AIndex Entertainment - L10 with Sea Ltd, Modern Times Group Mtg AB and Liberty Media Corporation Series C Liberty Formula One Common Stock
8) AIndex Oil Gas & Consumable Fuels - L10 with Range Resources Corp, China Petroleum & Chemical Corp Class A and CNOOC Ltd
9) AIndex Shipping - L20 with MPC Container Ships ASA, ZIM Integrated Shipping Services Ltd and Pacific Basin Shipping Ltd
10) AIndex Etf EUR Lack - L10 with L&G Gold Mining, Lyxor MSCI Turkey and WisdomTree Precious Metals
2) AIndex Global Gold & Silver Miners - L10 with Gatos Silver Inc, Lundin Mining Corporation and Victoria Gold Corp
3) AIndex Metals & Mining - L10 with Pan American Silver Corp, Boliden AB and Century Aluminum Company
4) AIndex Global Infrastructure - L10 with Mueller Industries Inc, Kunlun Energy and Energy Transfer LP
5) AIndex Listed Private Equity - L10 with Mutares SE & Co. KGaA, MedCap AB (publ) and Capital Southwest Corporation
6) AIndex Hong Kong China Enterprises - L10 with Xiaomi Corp, Agricultural Bank Of China and China Petroleum & Chemical Corp Class H
7) AIndex Entertainment - L10 with Sea Ltd, Modern Times Group Mtg AB and Liberty Media Corporation Series C Liberty Formula One Common Stock
8) AIndex Oil Gas & Consumable Fuels - L10 with Range Resources Corp, China Petroleum & Chemical Corp Class A and CNOOC Ltd
9) AIndex Shipping - L20 with MPC Container Ships ASA, ZIM Integrated Shipping Services Ltd and Pacific Basin Shipping Ltd
10) AIndex Etf EUR Lack - L10 with L&G Gold Mining, Lyxor MSCI Turkey and WisdomTree Precious Metals
Long stocks to watch
(LOTB/BE0003604155), listed in Belgium, closed the day's trading on 25th Apr at 9390 EUR with a daily change of 0.97%. The Stock's five-year performance is mostly growth. AI bought the Stock at 9200 on 23rd Apr and now gains 2.07%, the stop loss which is currently positioned at 8067.08 is 14.09% away from the last closing value and corresponds to 0.59 standard deviations (23.78%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 8700 to 881...
Category: Stock - Food, Beverage & Tobacco: Packaged Foods & Meats
ISIN: BE0003604155 Curncy: EUR Country:
(MYTIL/GRS393503008), listed in Greece, closed the day's trading on 25th Apr at 37.72 EUR with a daily change of -1.51%. The Stock's five-year performance is mostly growth. AI bought the Stock at 38.3 on 16th Jan and now loses -1.51%, the stop loss which is currently positioned at 32.341 is 14.26% away from the last closing value and corresponds to 0.33 standard deviations (43.76%). The Stock started its descent from the main cycle high at 1 o'clock from 25th Apr. The AI system...
Category: Stock - Industrial Conglomerates
ISIN: GRS393503008 Curncy: EUR Country:
(BAMI/IT0005218380), listed in Italy, closed the day's trading on 25th Apr at 6.102 EUR with a daily change of -0.13%. The Stock's five-year performance is mostly growth. AI bought the Stock at 4.072 on 31st Aug 2023 and now gains 49.86%, the stop profit which is currently positioned at 4.74 is 22.32% away from the last closing value. The Stock is at main cycle high at 12 o'clock from 17th Apr. The AI system, in the 3637 market days analysed, identified 10 operations for the St...
Category: Stock - Diversified Banks
ISIN: IT0005218380 Curncy: EUR Country:
(FLTR/IE00BWT6H894), listed in Ireland, closed the day's trading on 23rd Jan at 181.95 EUR with a daily change of -0.44%. The Stock's five-year performance is mostly growth. AI bought the Stock at 149.3 on 1st Nov 2023 and now gains 21.87%, the stop profit which is currently positioned at 155.62 is 14.47% away from the last closing value and corresponds to 0.45 standard deviations (32.26%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 1...
Category: Stock - Casinos & Gaming
ISIN: IE00BWT6H894 Curncy: EUR Country:
(UNI/IT0004810054), listed in Italy, closed the day's trading on 25th Apr at 8.31 EUR with a daily change of -0.72%. The Stock's five-year performance is mostly growth. AI buys the stock at the next opening value. The Stock is at main cycle high at 12 o'clock from 15th Jan. The AI system, in the 3638 market days analysed, identified 11 operations for the Stock. The average change in positive trades (28.27%) was higher than negative trades (-5.77%) at a ratio of 4.9 to 1 ...
Category: Stock - Multi-line Insurance
ISIN: IT0004810054 Curncy: EUR Country:
(MCK/US58155Q1031), listed in USA, closed the day's trading on 24th Apr at 535.42 USD with a daily change of 0.64%. The Stock's five-year performance is mostly growth. AI bought the Stock at 383.95 on 10th May 2023 and now gains 39.45%, the stop profit which is currently positioned at 464.07 is 13.33% away from the last closing value and corresponds to 0.5 standard deviations (26.62%). The Stock is at main cycle high at 12 o'clock from 19th Apr. The AI system, in the 3601 marke...
Category: Stock - Health Care Distributors
ISIN: US58155Q1031 Curncy: USD Country:
(ARES/US03990B1017), listed in USA, closed the day's trading on 24th Apr at 135.95 USD with a daily change of -0.4%. The Stock's five-year performance is mostly growth. AI bought the Stock at 110.41 on 30th Nov 2023 and now gains 23.13%, the stop profit which is currently positioned at 115.29 is 15.2% away from the last closing value and corresponds to 0.44 standard deviations (34.64%). The Stock is at main cycle high at 12 o'clock from 22nd Apr. The AI system, in the 2511 mark...
Category: Stock - Asset Management & Custody Banks
ISIN: US03990B1017 Curncy: USD Country:
(ADSK/US0527691069), listed in USA, closed the day's trading on 24th Apr at 215 USD with a daily change of -1.34%. The Stock's five-year performance is mostly lack. AI buys the stock at the next opening value. In the last 4 weeks during its downward movement it has opened 2 daily gaps of more than 1.2% extension and the most recent one was a bearish price gap from 219.5 to 227.57 opened on 17th Apr, 2 bearish gaps remain open. The average volume during negative days is th...
Category: Stock - Application Software
ISIN: US0527691069 Curncy: USD Country:
(CTSH/US1924461023), listed in USA, closed the day's trading on 24th Apr at 67.52 USD with a daily change of -0.37%. The Stock's five-year performance is mostly lack, but at the moment is value. AI buys the stock at the next opening value. The Stock is at the main cycle low at 6 o'clock from 23rd Apr, the current position matches the maximum probability of an upward move (1.79%) for the next 2 weeks. The AI system, in the 3600 market days analysed, identified 16 operatio...
Category: Stock - IT Consulting & Other Services
ISIN: US1924461023 Curncy: USD Country:
(EA/US2855121099), listed in USA, closed the day's trading on 24th Apr at 128.14 USD with a daily change of 0.79%. The Stock's five-year performance is mostly lack. AI buys the stock at the next opening value. The Stock started its climb from the main cycle low at 7 o'clock from 24th Apr, the current position matches the maximum probability of an upward move (2.92%) for the next 2 weeks. The AI system, in the 3600 market days analysed, identified 30 operations for the St...
Category: Stock - Interactive Home Entertainment
ISIN: US2855121099 Curncy: USD Country:
(PLUS/IL0011284465), listed in UK, closed the day's trading on 25th Apr at 2154 GBX with a daily change of -0.37%. The Stock's five-year performance is mostly growth. AI bought the Stock at 1799 on 9th Jan and now gains 19.73%, the stop loss which is currently positioned at 1642.72 is 23.74% 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 16th Apr with 319684 units traded with ...
Category: Stock - Specialized Finance
ISIN: IL0011284465 Curncy: GBX Country:
(AZN/GB0009895292), listed in UK, closed the day's trading on 25th Apr at 12026 GBX with a daily change of 5.94%. The Stock's five-year performance is mostly growth. AI bought the Stock at 9747.12 on 16th Feb and now gains 23.38%, the stop profit which is currently positioned at 11424.7 is 5% away from the last closing value and corresponds to 0.22 standard deviations (23.19%). In the last 4 weeks during its upward movement it opened a daily bullish price gap from 11412 to 11790...
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 25th Apr at 1320 GBX with a daily change of -3.19%. The Stock's five-year performance is mostly growth. AI bought the Stock at 1060 on 19th Oct 2023 and now gains 24.53%, the stop profit which is currently positioned at 1158.64 is 12.22% away from the last closing value and corresponds to 0.53 standard deviations (23.17%). The Stock started its descent from the main cycle high at 1 o'clock from 25th Apr. The AI system...
Category: Stock - Aerospace & Defense
ISIN: GB0002634946 Curncy: GBX Country:
(ABF/GB0006731235), listed in UK, closed the day's trading on 25th Apr at 2686 GBX with a daily change of -0.59%. The Stock's five-year performance is mostly lack, but at the moment is value. AI bought the Stock at 2020.16 on 8th Mar 2023 and now gains 32.96%, the stop profit which is currently positioned at 2185.11 is 18.65% away from the last closing value and corresponds to 0.71 standard deviations (26.12%). In the last 4 weeks during its upward movement it opened a daily bul...
Category: Stock - Food, Beverage & Tobacco: Packaged Foods & Meats
ISIN: GB0006731235 Curncy: GBX Country:
(ABBN/CH0012221716), listed in Switzerland, closed the day's trading on 25th Apr at 44.51 CHF with a daily change of -0.09%. The Stock's five-year performance is mostly growth. AI bought the Stock at 34.191 on 1st Dec 2023 and now gains 30.18%, the stop profit which is currently positioned at 37.944 is 14.75% away from the last closing value and corresponds to 0.62 standard deviations (23.95%). In the last 4 weeks during its upward movement it opened a daily bullish price gap fr...
Category: Stock - Electrical Components & Equipment
ISIN: CH0012221716 Curncy: CHF Country:
(PGHN/CH0024608827), listed in Switzerland, closed the day's trading on 25th Apr at 1181 CHF with a daily change of -1.21%. The Stock's five-year performance is mostly value. AI bought the Stock at 1056 on 20th Sep 2023 and now gains 11.84%, the stop profit which is currently positioned at 1090.87 is 7.63% away from the last closing value and corresponds to 0.3 standard deviations (25.26%). In the last 4 weeks during its downward movement it opened a daily bearish price gap from...
Category: Stock - Asset Management & Custody Banks
ISIN: CH0024608827 Curncy: CHF Country:
(BKW/CH0130293662), listed in Switzerland, closed the day's trading on 25th Apr at 136.4 CHF with a daily change of -0.15%. The Stock's five-year performance is mostly growth. AI bought the Stock at 125.84 on 6th Mar and now gains 8.39%, the stop loss which is currently positioned at 120.64 is 11.56% away from the last closing value and corresponds to 0.48 standard deviations (23.91%). The Stock is halfway up from the main cycle low at 9 o'clock from 11th Apr, the current positi...
Category: Stock - Electric Utilities
ISIN: CH0130293662 Curncy: CHF Country:
(HOLN/CH0012214059), listed in Switzerland, closed the day's trading on 25th Apr at 77.76 CHF with a daily change of -1.77%. The Stock's five-year performance is mostly value. AI bought the Stock at 43.64 on 11th Mar 2022 and now gains 78.19%, the stop profit which is currently positioned at 69.411 is 10.74% away from the last closing value and corresponds to 0.4 standard deviations (26.8%). The Stock is at main cycle high at 12 o'clock from 23rd Apr. The AI system, in the 3600...
Category: Stock - Construction Materials
ISIN: CH0012214059 Curncy: CHF Country:
(GIVN/CH0010645932), listed in Switzerland, closed the day's trading on 25th Apr at 3926 CHF with a daily change of -2.02%. The Stock's five-year performance is mostly growth. AI bought the Stock at 3518.73 on 5th Feb and now gains 11.57%, the stop loss which is currently positioned at 3351.65 is 14.63% away from the last closing value and corresponds to 0.71 standard deviations (20.54%). The Stock started its descent from the main cycle high at 1 o'clock from 25th Apr. The AI ...
Category: Stock - Specialty Chemicals
ISIN: CH0010645932 Curncy: CHF Country:
(TLX/AU000000TLX2), listed in Australia, closed the day's trading on 24th Apr at 14.88 AUD with a daily change of 4.06%. The Stock's five-year performance is mostly growth. On the last trading day, the Stock hit an all-time high. AI bought the Stock at 11.96 on 5th Feb and now gains 24.41%, the stop loss which is currently positioned at 11.16 is 25% 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 ...
Category: Stock - Biotechnology
ISIN: AU000000TLX2 Curncy: AUD Country:
(UWL/AU0000035388), listed in Australia, closed the day's trading on 21st Jul 2022 at 4.99 AUD with a daily change of 2.15%. The Stock's five-year performance is mostly growth. AI bought the Stock at 4.78 on 24th Mar 2022 and now gains 4.39%, the stop loss which is currently positioned at 4.429 is 11.25% away from the last closing value. In the last 4 weeks during its sideways movement it has opened 2 daily gaps of more than 1% extension and the most recent one was a bullish pri...
Category: Stock - Alternative Carriers
ISIN: AU0000035388 Curncy: AUD Country:
(FMG/AU000000FMG4), listed in Australia, closed the day's trading on 24th Apr at 24.76 AUD with a daily change of 0.65%. The Stock's five-year performance is mostly growth. AI bought the Stock at 22.242 on 8th Nov 2023 and now gains 11.32%, the stop profit which is currently positioned at 23.329 is 5.78% away from the last closing value and corresponds to 0.12 standard deviations (46.55%). The Stock is in the middle of its descent from the main cycle high at 3 o'clock from 19th ...
Category: Stock - Metals & Mining: Steel
ISIN: AU000000FMG4 Curncy: AUD Country:
(PME/AU000000PME8), listed in Australia, closed the day's trading on 24th Apr at 107.92 AUD with a daily change of 0.66%. The Stock's five-year performance is mostly growth. AI bought the Stock at 110.2 on 10th Apr and now loses -2.07%, the stop loss which is currently positioned at 93.548 is 13.32% 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 3129 market days analysed, identified 18 operations for the Stoc...
Category: Stock - Health Care Technology
ISIN: AU000000PME8 Curncy: AUD Country:
(DEG/AU000000DEG6), listed in Australia, closed the day's trading on 24th Apr at 1.315 AUD with a daily change of 1.94%. The Stock's five-year performance is mostly growth. AI bought the Stock at 1.25 on 11th Oct 2023 and now gains 5.2%, the stop loss which is currently positioned at 1.057 is 19.59% away from the last closing value. In the last 4 weeks during its upward movement it has opened 2 daily gaps of more than 1% extension and the most recent one was a bearish price gap ...
Category: Stock - Metals & Mining: Gold
ISIN: AU000000DEG6 Curncy: AUD Country:
(DOL/CA25675T1075), listed in Canada, closed the day's trading on 24th Apr at 115.57 CAD with a daily change of 1.73%. 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 46.035 on 1st Jun 2020 and now gains 151.05%, the stop profit which is currently positioned at 99.228 is 14.14% away from the last closing value and corresponds to 0.61 standard deviations (23.23%). In the last 4 weeks during its up...
Category: Stock - General Merchandise Stores
ISIN: CA25675T1075 Curncy: CAD Country:
(IVN/CA46579R1047), listed in Canada, closed the day's trading on 24th Apr at 18.33 CAD with a daily change of 1.05%. The Stock's five-year performance is mostly growth. AI bought the Stock at 10.54 on 31st Oct 2023 and now gains 73.91%, the stop profit which is currently positioned at 16.94 is 7.58% away from the last closing value. In the last 4 weeks during its upward movement, the average volume during negative days is the highest and peaked on 19th Apr with 7746877 units tr...
Category: Stock - Metals & Mining: Diversified Metals & Mining
ISIN: CA46579R1047 Curncy: CAD Country:
(STN/CA85472N1096), listed in Canada, closed the day's trading on 24th Apr at 110.94 CAD with a daily change of 0.33%. The Stock's five-year performance is mostly growth. AI bought the Stock at 96.454 on 17th Nov 2023 and now gains 15.02%, the stop profit which is currently positioned at 96.922 is 12.64% away from the last closing value and corresponds to 0.52 standard deviations (24.29%). The Stock started its descent from the main cycle high at 1 o'clock from 27th Mar. The AI...
Category: Stock - Research & Consulting Services
ISIN: CA85472N1096 Curncy: CAD Country:
(CSU/CA21037X1006), listed in Canada, closed the day's trading on 24th Apr at 3696.96 CAD with a daily change of -0.91%. The Stock's five-year performance is mostly growth. AI bought the Stock at 2268.02 on 16th Jan 2023 and now gains 63%, the stop profit which is currently positioned at 3370.17 is 8.84% away from the last closing value and corresponds to 0.34 standard deviations (25.75%). The Stock is at main cycle high at 12 o'clock from 16th Apr. The AI system, in the 3570 m...
Category: Stock - Application Software
ISIN: CA21037X1006 Curncy: CAD Country:
(CS/CA14071L1085), listed in Canada, closed the day's trading on 24th Apr at 9.04 CAD with a daily change of 0.78%. The Stock's five-year performance is mostly growth. AI bought the Stock at 6.68 on 26th Jan and now gains 35.33%, the stop profit which is currently positioned at 7.961 is 11.93% away from the last closing value. The Stock started its descent from the main cycle high at 1 o'clock from 22nd Apr. The AI system, in the 3590 market days analysed, identified 17 operati...
Category: Stock - Metals & Mining: Copper
ISIN: CA14071L1085 Curncy: CAD Country:
(NOVO-B/DK0060534915), listed in Denmark, closed the day's trading on 25th Apr at 866.8 DKK with a daily change of -1.35%. The Stock's five-year performance is mostly growth. AI bought the Stock at 354.06 on 18th Mar 2022 and now gains 144.82%, the stop profit which is currently positioned at 716.49 is 17.34% away from the last closing value and corresponds to 0.66 standard deviations (26.4%). The Stock is at main cycle high at 12 o'clock from 22nd Apr. The AI system, in the 35...
Category: Stock - Pharmaceuticals
ISIN: DK0060534915 Curncy: DKK Country:
(RBREW/DK0060634707), listed in Denmark, closed the day's trading on 25th Apr at 529 DKK. The Stock's five-year performance is mostly lack. AI buys the stock at the next opening value. In the last 4 weeks during its upward movement it opened a daily bullish price gap from 440.4 to 480 on 19th Apr. The average volume during positive days is the highest and peaked on 19th Apr with 801018 units traded with a positive price change of 18.07%. The Stock is at main cycle high at...
Category: Stock - Food, Beverage & Tobacco: Brewers
ISIN: DK0060634707 Curncy: DKK Country:
(TRMD-A/GB00BZ3CNK81), listed in Denmark, closed the day's trading on 25th Apr at 235.6 DKK with a daily change of 0.08%. The Stock's five-year performance is mostly growth. AI bought the Stock at 223 on 5th Jan and now gains 5.65%, the stop loss which is currently positioned at 218.51 is 7.25% away from the last closing value. In the last 4 weeks during its sideways movement, the average volume during negative days is the highest and peaked on 15th Apr with 910845 units traded ...
Category: Stock - Oil & Gas Storage & Transportation
ISIN: GB00BZ3CNK81 Curncy: DKK Country:
(PNDORA/DK0060252690), listed in Denmark, closed the day's trading on 25th Apr at 1078 DKK with a daily change of -1.55%. The Stock's five-year performance is mostly growth. AI bought the Stock at 588.29 on 3rd Feb 2023 and now gains 83.24%, the stop profit which is currently positioned at 895.95 is 16.89% away from the last closing value and corresponds to 0.36 standard deviations (47.51%). In the last 4 weeks during its downward movement, the average volume during negative day...
Category: Stock - Apparel, Accessories & Luxury Goods
ISIN: DK0060252690 Curncy: DKK Country:
(VWS/DK0061539921), listed in Denmark, closed the day's trading on 25th Apr at 177.6 DKK with a daily change of -1.93%. The Stock's five-year performance is mostly lack. AI bought the Stock at 213.45 on 29th Dec 2023 and now loses -16.8%, the stop loss which is currently positioned at 137.25 is 22.72% away from the last closing value and corresponds to 0.48 standard deviations (47.38%). The Stock is halfway up from the main cycle low at 9 o'clock from 24th Apr. The AI system, i...
Category: Stock - Heavy Electrical Equipment
ISIN: DK0061539921 Curncy: DKK Country:
Markets close on 25th Apr
USA: The 1814 stocks analysed are 49.39% long and ended the trading day with a weighted daily change of -0.53% and a weekly change of 1.79%.
There are 7 new buys (Amedisys Inc, Amphastar P, Matterport Inc, Northrop Grumman Corporation, Recursion Pharmaceuticals Inc, Ultralife Corporation and Virtu Financial Inc) and 14 new sell (Avis Budget Group Inc, CACI International Inc, Carrier Global Corp, Gorman-Rupp Company, Graco Inc, Harley-Davidson Inc, International Paper, Opendoor Technologies Inc, Phreesia Inc, Reliance Steel & Aluminum Co, Stericycle Inc, Textron Inc, Warner Music Group and Wex Inc). With the new changes, long positions will decrease by 0.39%.
There are also changes in the AIndexes: new entries in Communications Equipment - L20, Construction & Engineering - L10 / L20 / L40, Cyber Security - L10 / L20, Electrical Equipment - L20 / L40, Entertainment - L40, Global Infrastructure - L20 / L40, NASDAQ 100 - L40, Rare Earth - L10, S&P 500 + Nasdaq 100 - L10, S&P 500 - L20, Semiconductors & Semiconductor Equipment - L20 / L40, Specialty Retail - L10 / L40, Stock EUR + USD Mix 50, Stock USD + Etf Mix 60, Stock USD Value - L20 / L40 and Tobacco - L10; exits in Capital Markets - L40, Commercial Services & Supplies - L10 / L20 / L40, Electronic Equipment Instruments & Components - L20 / L40, Genomic Revolution - L40, Global Conflict - L20 / L40, Insurance - L20 / L40, Life Sciences Tools & Services - L10 / L20, Machinery - L20 / L40, Marine - L10 / L20, Road & Rail - L10 / L20, Robotics & Artificial Intelligence - L20 / L40, Shipping - L10 / L20, Space Innovation - L10 / L20, Stock USD Growth - L40, World ESG Leader - L10 / L40.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 27.23% of the total and a change of 2.5%, followed by the "Growth" group accounting for 26.35% and a change of 2.07% and the "Lack" group accounting for 46.42% and a change of 1.01%.
The change in the top 3 stock categories on 25th Apr are Education Services (19) with 65.05%, Application Software (81) with 34.83% and Coal & Consumable Fuels (6) with 3.57%; at the bottom are Transportation - Marine (11) with -12.2%, Motorcycle Manufacturers (3) with -12% and Household Appliances (2) with -6.25%.
In the last week, the best performers were: Motorcycle Manufacturers (3) with 332.68%, Education Services (19) with 66.47% and Oil & Gas Exploration & Production (48) with 54.55%; the worst: Metals & Mining - Precious Metals & Minerals (2) with -9.05%, Household Appliances (2) with -7.45% and Transportation - Marine (11) with -7.16%.
Over the past month, the best performers were: Motorcycle Manufacturers (3) with 157.03%, Health Care Equipment (43) with 83.28% and Electronic Components (5) with 79.84%; the worst: Computer & Electronics Retail (2) with -14.87%, Household Appliances (2) with -14.16% and Home Improvement Retail (4) with -12.64%.
For the past year, the best performers were: Automotive Retail (10) with 106.38%, Independent Power Producers & Energy Traders (5) with 83.73% and Apparel Retail (11) with 66.67%; the worst: Metals & Mining - Precious Metals & Minerals (2) with -52.6%, Renewable Electricity (5) with -49.14% and Household Appliances (2) with -46.08%.
New highs and lows
All-time high (36) : Seagen Inc, Republic Services Inc, Chipotle Mexican Grill Inc, Procter & Gamble Company, Transdigm Group Incorporated, Yum! Brands Inc, ONEOK Inc, ImmunoGen Inc, Elevance Health Inc, Heico Corporation, Church & Dwight Company Inc, Dover Corporation, Targa Resources Inc, Aerojet Rocketdyne Holdings Inc, First Citizens BancShares Inc, Warrior Met Coal Inc, Magellan Midstream Partners LP, Sailpoint Technologies Holdings Inc, Interactive Brokers Group Inc, American Campus Communities Inc, National Instruments Corporation, ...
One-year high (35) : Philip Morris International Inc, Horizon Pharma PLC, Synchrony Financial, Splunk Inc, Delta Air Lines Inc, Southern Company, Range Resources Corp, Public Service Enterprise Group Inc, Tyson Foods Inc, M&T Bank Corp, Reata Pharmaceuticals Inc, Agnico Eagle Mines Limited, Signify Health Inc, Oak Street Health Inc, Tyler Technologies Inc, Equitrans Midstream Corp, Antero Resources Corp, Altra Holdings Inc, New Relic Inc, Nielsen Holdings PLC, Maxar Technologies Inc, ...
All-time low (31) : Pluristem, Unique Fabricating Inc, Unity Biotechnology Inc, Brightcove Inc, Cue Biopharma, ATN International Inc, Microvast Holdings Inc, Fossil Group Inc, Avaya Holdings Corp, Butterfly Network Inc, CommScope Holding Co Inc, PetMed Express Inc, Bigcommerce Holdings Inc, Domo Inc, Cerence Inc, Maxeon Solar Technologies Ltd, Replimune Group Inc, Uniqure NV, Pet Acquisition LLC, Revance The, Leslies Inc, ...
One-year low (42) : GreenTree Hospitality Group Ltd, Yatra Online Inc, Harvard Bioscience Inc, TherapeuticsMD Inc, Boston Omaha Corporation, San Juan Basin Royalty Trust, Neenah Paper Inc, Pliant Therapeutics Inc, Kopin Corporation, W&T Offshore Inc, Telkom Indonesia (Persero) Tbk PT ADR Rep 100 B, Galapagos NV ADR, Gevo Inc, Travere Therapeutics Inc, Pacira Pharmaceuticals Inc, Piedmont Lithium Ltd ADR, Prothena Corporation plc, PotlatchDeltic Corp, BioCryst Pharmaceuticals Inc, Integra LifeSciences Holdings, New Residential Investment Corp, ...
Signals
There are also changes in the AIndexes: new entries in Communications Equipment - L20, Construction & Engineering - L10 / L20 / L40, Cyber Security - L10 / L20, Electrical Equipment - L20 / L40, Entertainment - L40, Global Infrastructure - L20 / L40, NASDAQ 100 - L40, Rare Earth - L10, S&P 500 + Nasdaq 100 - L10, S&P 500 - L20, Semiconductors & Semiconductor Equipment - L20 / L40, Specialty Retail - L10 / L40, Stock EUR + USD Mix 50, Stock USD + Etf Mix 60, Stock USD Value - L20 / L40 and Tobacco - L10; exits in Capital Markets - L40, Commercial Services & Supplies - L10 / L20 / L40, Electronic Equipment Instruments & Components - L20 / L40, Genomic Revolution - L40, Global Conflict - L20 / L40, Insurance - L20 / L40, Life Sciences Tools & Services - L10 / L20, Machinery - L20 / L40, Marine - L10 / L20, Road & Rail - L10 / L20, Robotics & Artificial Intelligence - L20 / L40, Shipping - L10 / L20, Space Innovation - L10 / L20, Stock USD Growth - L40, World ESG Leader - L10 / L40.
Ranking
The change in the top 3 stock categories on 25th Apr are Education Services (19) with 65.05%, Application Software (81) with 34.83% and Coal & Consumable Fuels (6) with 3.57%; at the bottom are Transportation - Marine (11) with -12.2%, Motorcycle Manufacturers (3) with -12% and Household Appliances (2) with -6.25%.
In the last week, the best performers were: Motorcycle Manufacturers (3) with 332.68%, Education Services (19) with 66.47% and Oil & Gas Exploration & Production (48) with 54.55%; the worst: Metals & Mining - Precious Metals & Minerals (2) with -9.05%, Household Appliances (2) with -7.45% and Transportation - Marine (11) with -7.16%.
Over the past month, the best performers were: Motorcycle Manufacturers (3) with 157.03%, Health Care Equipment (43) with 83.28% and Electronic Components (5) with 79.84%; the worst: Computer & Electronics Retail (2) with -14.87%, Household Appliances (2) with -14.16% and Home Improvement Retail (4) with -12.64%.
For the past year, the best performers were: Automotive Retail (10) with 106.38%, Independent Power Producers & Energy Traders (5) with 83.73% and Apparel Retail (11) with 66.67%; the worst: Metals & Mining - Precious Metals & Minerals (2) with -52.6%, Renewable Electricity (5) with -49.14% and Household Appliances (2) with -46.08%.
New highs and lows
One-year high (35) : Philip Morris International Inc, Horizon Pharma PLC, Synchrony Financial, Splunk Inc, Delta Air Lines Inc, Southern Company, Range Resources Corp, Public Service Enterprise Group Inc, Tyson Foods Inc, M&T Bank Corp, Reata Pharmaceuticals Inc, Agnico Eagle Mines Limited, Signify Health Inc, Oak Street Health Inc, Tyler Technologies Inc, Equitrans Midstream Corp, Antero Resources Corp, Altra Holdings Inc, New Relic Inc, Nielsen Holdings PLC, Maxar Technologies Inc, ...
All-time low (31) : Pluristem, Unique Fabricating Inc, Unity Biotechnology Inc, Brightcove Inc, Cue Biopharma, ATN International Inc, Microvast Holdings Inc, Fossil Group Inc, Avaya Holdings Corp, Butterfly Network Inc, CommScope Holding Co Inc, PetMed Express Inc, Bigcommerce Holdings Inc, Domo Inc, Cerence Inc, Maxeon Solar Technologies Ltd, Replimune Group Inc, Uniqure NV, Pet Acquisition LLC, Revance The, Leslies Inc, ...
One-year low (42) : GreenTree Hospitality Group Ltd, Yatra Online Inc, Harvard Bioscience Inc, TherapeuticsMD Inc, Boston Omaha Corporation, San Juan Basin Royalty Trust, Neenah Paper Inc, Pliant Therapeutics Inc, Kopin Corporation, W&T Offshore Inc, Telkom Indonesia (Persero) Tbk PT ADR Rep 100 B, Galapagos NV ADR, Gevo Inc, Travere Therapeutics Inc, Pacira Pharmaceuticals Inc, Piedmont Lithium Ltd ADR, Prothena Corporation plc, PotlatchDeltic Corp, BioCryst Pharmaceuticals Inc, Integra LifeSciences Holdings, New Residential Investment Corp, ...
Hong Kong: The 543 stocks analysed are 24.86% long and ended the trading day with a weighted daily change of 0.57% and a weekly change of 3.05%.
There is one new buy (China Communications Const-H) and 2 new sell (New Oriental Education And Tech Inc and Sinotruk Hong Kong Ltd). With the new changes, long positions will decrease by 0.18%.
There are also changes in the AIndexes: new entries in Transportation Infrastructure - L20.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 70.9% of the total and a change of 3.83%, followed by the "Growth" group accounting for 4.6% and a change of 1.71% and the "Value" group accounting for 24.49% and a change of 1.51%.
The change in the top 3 stock categories on 25th Apr are Metals & Mining - Aluminum (3) with 4.34%, Specialty Chemicals (3) with 3.72% and Financial Exchanges & Data (2) with 3.12%; at the bottom are Health Care Services (5) with -4.48%, Education Services (13) with -3.09% and IT Consulting & Other Services (3) with -2.55%.
In the last week, the best performers were: Retail REITs (2) with 9.68%, Internet Services & Infrastructure (2) with 9.63% and Life & Health Insurance (5) with 9.37%; the worst: Construction Machinery & Heavy Trucks (7) with -6.6%, Metals & Mining - Diversified Metals & Mining (5) with -5.9% and Coal & Consumable Fuels (3) with -4.43%.
Over the past month, the best performers were: Consumer Electronics (3) with 30.14%, Metals & Mining - Aluminum (3) with 26.6% and Metals & Mining - Gold (3) with 20.12%; the worst: Real Estate Services with -16.16%, Application Software (6) with -13.78% and Internet Services & Infrastructure (2) with -11.44%.
For the past year, the best performers were: Advertising (3) with 148.41%, Integrated Oil & Gas (2) with 39.98% and Metals & Mining - Aluminum (3) with 36.28%; the worst: Automotive Retail (3) with -68.18%, Real Estate Services with -63.52% and Transportation - Airport Services (2) with -60.54%.
New highs and lows
All-time high (5) : Bank of China Ltd H, Agricultural Bank Of China, Sinotrans Ltd, Bank of Communications Co Ltd and Fufeng Group Ltd
One-year high (18) : SITC International Holdings Co Ltd, CGN Power, China Hongqiao Group Ltd, China Mobile Ltd, Kunlun Energy, China Everbright Environment Group Ltd, Fuyao Glass Industry Group, VSTECS Holdings Ltd, Haitian International Holdings Ltd, Bosideng International Holdings Ltd, BOC Hong Kong Holdings Ltd, Haitong International Securities Group Ltd, Dah Sing Financial Holdings Ltd, Dah Sing Banking Group Ltd, COSCO SHIPPING Holdings Co Ltd H, Great Wall Motor Co Ltd, Bank Of Chongqing Co Ltd and Yue Yuen Ind
All-time low (12) : IBO Technology, Vpower Group International Holdings Ltd, Ronshine China Holdings Ltd, Huijing Holdings Co Ltd, Dexin China Holdings, Zhongliang Holdings Group Co Ltd, Joy Spreader Interactive Tech Ltd, Shinsun Holdings Group Co Ltd, Frontage Holdings Corp, Yeahka Ltd, Peijia Medical 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: new entries in Transportation Infrastructure - L20.
Ranking
The change in the top 3 stock categories on 25th Apr are Metals & Mining - Aluminum (3) with 4.34%, Specialty Chemicals (3) with 3.72% and Financial Exchanges & Data (2) with 3.12%; at the bottom are Health Care Services (5) with -4.48%, Education Services (13) with -3.09% and IT Consulting & Other Services (3) with -2.55%.
In the last week, the best performers were: Retail REITs (2) with 9.68%, Internet Services & Infrastructure (2) with 9.63% and Life & Health Insurance (5) with 9.37%; the worst: Construction Machinery & Heavy Trucks (7) with -6.6%, Metals & Mining - Diversified Metals & Mining (5) with -5.9% and Coal & Consumable Fuels (3) with -4.43%.
Over the past month, the best performers were: Consumer Electronics (3) with 30.14%, Metals & Mining - Aluminum (3) with 26.6% and Metals & Mining - Gold (3) with 20.12%; the worst: Real Estate Services with -16.16%, Application Software (6) with -13.78% and Internet Services & Infrastructure (2) with -11.44%.
For the past year, the best performers were: Advertising (3) with 148.41%, Integrated Oil & Gas (2) with 39.98% and Metals & Mining - Aluminum (3) with 36.28%; the worst: Automotive Retail (3) with -68.18%, Real Estate Services with -63.52% and Transportation - Airport Services (2) with -60.54%.
New highs and lows
One-year high (18) : SITC International Holdings Co Ltd, CGN Power, China Hongqiao Group Ltd, China Mobile Ltd, Kunlun Energy, China Everbright Environment Group Ltd, Fuyao Glass Industry Group, VSTECS Holdings Ltd, Haitian International Holdings Ltd, Bosideng International Holdings Ltd, BOC Hong Kong Holdings Ltd, Haitong International Securities Group Ltd, Dah Sing Financial Holdings Ltd, Dah Sing Banking Group Ltd, COSCO SHIPPING Holdings Co Ltd H, Great Wall Motor Co Ltd, Bank Of Chongqing Co Ltd and Yue Yuen Ind
All-time low (12) : IBO Technology, Vpower Group International Holdings Ltd, Ronshine China Holdings Ltd, Huijing Holdings Co Ltd, Dexin China Holdings, Zhongliang Holdings Group Co Ltd, Joy Spreader Interactive Tech Ltd, Shinsun Holdings Group Co Ltd, Frontage Holdings Corp, Yeahka Ltd, Peijia Medical Ltd and Country Garden Holdings Company Ltd
One-year low (2) : Honbridge Holdings Ltd and New Horizon Health Ltd
UK: The 351 stocks analysed are 49% long and ended the trading day with a weighted daily change of -0.42% and a weekly change of 0.78%.
There are 3 new buys (Dunelm Group PLC, Franchise Brands PLC and Moneysupermarket.Com Group PLC) and 4 new sell (Breedon Group PLC, Ninety One PLC, Schroders PLC and Trainline Plc). With the new changes, long positions will decrease by 0.28%.
There are also changes in the AIndexes: exits in Construction Materials - L20 and London - L40.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 35.33% of the total and a change of 0.96%, followed by the "Growth" group accounting for 15.1% and a change of 0.89% and the "Lack" group accounting for 49.57% and a change of 0.55%.
The change in the top 3 stock categories on 25th Apr are Biotechnology (6) with 3.23%, Personal Products (2) with 3.12% and Metals & Mining - Diversified Metals & Mining (6) with 2.74%; at the bottom are Hotels / Resorts & Cruise Lines (5) with -2.85%, Specialty Stores (6) with -2.58% and Transportation - Road & Rail - Trucking (4) with -2.16%.
In the last week, the best performers were: Metals & Mining - Steel (3) with 110.6%, Consumer Finance with 19.48% and Building Products (4) with 8.86%; the worst: Transportation - Road & Rail - Trucking (4) with -74.55%, Paper Packaging (2) with -9.01% and Metals & Mining - Precious Metals & Minerals (2) with -4.34%.
Over the past month, the best performers were: Metals & Mining - Precious Metals & Minerals (2) with 24.24%, Transportation - Air Freight & Logistics with 15.86% and Interactive Home Entertainment (3) with 15.36%; the worst: Transportation - Road & Rail - Trucking (4) with -78.32%, Metals & Mining - Steel (3) with -43.93% and Hotels / Resorts & Cruise Lines (5) with -8.47%.
For the past year, the best performers were: Aerospace & Defense (10) with 51.18%, Health Care Technology with 44.3% and Construction & Engineering (5) with 43.94%; the worst: Electrical Components & Equipment (2) with -50.16%, Metals & Mining - Steel (3) with -48.91% and Transportation - Road & Rail - Trucking (4) with -44.46%.
New highs and lows
All-time high (2) : Ultra Electronics Holdings PLC and TBC Bank Group PLC
One-year high (11) : Barclays PLC, NatWest Group PLC, HomeServe PLC, Hochschild Mining plc, CMC Markets PLC, Micro Focus International PLC, Franchise Brands PLC, Morgan Advanced Materials plc, Craneware Plc, Hilton Food Group Plc and Bakkavor Group PLC
All-time low (3) : Coro Energy PLC, Oxford Biodynamics PLC and Oxford Nanopore Technologies Ltd
One-year low (5) : Victoria PLC, Greatland Gold plc, TCS Group Holding PLC, Schroders PLC and Whitbread PLC
Signals
There are also changes in the AIndexes: exits in Construction Materials - L20 and London - L40.
Ranking
The change in the top 3 stock categories on 25th Apr are Biotechnology (6) with 3.23%, Personal Products (2) with 3.12% and Metals & Mining - Diversified Metals & Mining (6) with 2.74%; at the bottom are Hotels / Resorts & Cruise Lines (5) with -2.85%, Specialty Stores (6) with -2.58% and Transportation - Road & Rail - Trucking (4) with -2.16%.
In the last week, the best performers were: Metals & Mining - Steel (3) with 110.6%, Consumer Finance with 19.48% and Building Products (4) with 8.86%; the worst: Transportation - Road & Rail - Trucking (4) with -74.55%, Paper Packaging (2) with -9.01% and Metals & Mining - Precious Metals & Minerals (2) with -4.34%.
Over the past month, the best performers were: Metals & Mining - Precious Metals & Minerals (2) with 24.24%, Transportation - Air Freight & Logistics with 15.86% and Interactive Home Entertainment (3) with 15.36%; the worst: Transportation - Road & Rail - Trucking (4) with -78.32%, Metals & Mining - Steel (3) with -43.93% and Hotels / Resorts & Cruise Lines (5) with -8.47%.
For the past year, the best performers were: Aerospace & Defense (10) with 51.18%, Health Care Technology with 44.3% and Construction & Engineering (5) with 43.94%; the worst: Electrical Components & Equipment (2) with -50.16%, Metals & Mining - Steel (3) with -48.91% and Transportation - Road & Rail - Trucking (4) with -44.46%.
New highs and lows
One-year high (11) : Barclays PLC, NatWest Group PLC, HomeServe PLC, Hochschild Mining plc, CMC Markets PLC, Micro Focus International PLC, Franchise Brands PLC, Morgan Advanced Materials plc, Craneware Plc, Hilton Food Group Plc and Bakkavor Group PLC
All-time low (3) : Coro Energy PLC, Oxford Biodynamics PLC and Oxford Nanopore Technologies Ltd
One-year low (5) : Victoria PLC, Greatland Gold plc, TCS Group Holding PLC, Schroders PLC and Whitbread PLC
China: The 294 stocks analysed are 36.39% long and ended the trading day with a weighted daily change of 0.07% and a weekly change of -1.61%.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 56.12% of the total and a change of -1.37%, followed by the "Value" group accounting for 33.33% and a change of -1.77% and the "Growth" group accounting for 10.54% and a change of -2.04%.
The change in the top 3 stock categories on 25th Apr are Transportation - Air Freight & Logistics (2) with 3.6%, Regional Banks (5) with 2.78% and Electrical Components & Equipment (5) with 2.32%; at the bottom are Technology Hardware / Storage & Peripherals (5) with -3.17%, Interactive Home Entertainment (3) with -2.48% and Food / Beverage & Tobacco - Agricultural Products (3) with -2.35%.
In the last week, the best performers were: Aerospace & Defense (3) with 5.94%, Transportation - Air Freight & Logistics (2) with 4.97% and Health Care Supplies (4) with 4.74%; the worst: Specialty Chemicals (5) with -7.78%, Metals & Mining - Diversified Metals & Mining (4) with -7.1% and Food / Beverage & Tobacco - Agricultural Products (3) with -7.01%.
Over the past month, the best performers were: Communications Equipment (2) with 12.87%, Metals & Mining - Gold (3) with 10.93% and Household Appliances (6) with 10.2%; the worst: Real Estate Development (7) with -21.04%, Interactive Home Entertainment (3) with -15.12% and Health Care Services (3) with -14.51%.
For the past year, the best performers were: Integrated Oil & Gas (2) with 58.97%, Coal & Consumable Fuels (3) with 52.12% and Metals & Mining - Gold (3) with 40.15%; the worst: Specialty Stores (2) with -55.31%, Life Sciences Tools & Services (3) with -50.4% and Health Care Services (3) with -49.33%.
New highs and lows
One-year high (5) : COSCO SHIPPING Holdings Co Ltd, Bank of Jiangsu Co Ltd, Bank of Chengdu Co Ltd, Zhejiang Huafon Spandex Co Ltd and Bank of Nanjing Co Ltd
All-time low : Shenzhen Overseas Chinese Town Co Ltd
One-year low (15) : Guangzhou Shiyuan Electronic Technology Co Ltd, Shanghai Yuyuan Tourist Mart Co Ltd, National Silicon Industry Group Co Ltd, Guangdong Kinlong Hardware Products Co Ltd, Guangzhou Kingmed Diagnostics Group Co Ltd, Gemdale Corp, Walvax BioTech, Trina Solar Co Ltd, Zhejiang Jingsheng Mech Electric, Yunnan Chuangxin New Material Co Ltd, Tongwei Co Ltd, JA Solar Technology Co Ltd, TCL Zhonghuan Renewable Energy Technology Co Ltd, China Vanke Co Ltd Class A and Sichuan Tianqi Lithium Industries Inc
Ranking
The change in the top 3 stock categories on 25th Apr are Transportation - Air Freight & Logistics (2) with 3.6%, Regional Banks (5) with 2.78% and Electrical Components & Equipment (5) with 2.32%; at the bottom are Technology Hardware / Storage & Peripherals (5) with -3.17%, Interactive Home Entertainment (3) with -2.48% and Food / Beverage & Tobacco - Agricultural Products (3) with -2.35%.
In the last week, the best performers were: Aerospace & Defense (3) with 5.94%, Transportation - Air Freight & Logistics (2) with 4.97% and Health Care Supplies (4) with 4.74%; the worst: Specialty Chemicals (5) with -7.78%, Metals & Mining - Diversified Metals & Mining (4) with -7.1% and Food / Beverage & Tobacco - Agricultural Products (3) with -7.01%.
Over the past month, the best performers were: Communications Equipment (2) with 12.87%, Metals & Mining - Gold (3) with 10.93% and Household Appliances (6) with 10.2%; the worst: Real Estate Development (7) with -21.04%, Interactive Home Entertainment (3) with -15.12% and Health Care Services (3) with -14.51%.
For the past year, the best performers were: Integrated Oil & Gas (2) with 58.97%, Coal & Consumable Fuels (3) with 52.12% and Metals & Mining - Gold (3) with 40.15%; the worst: Specialty Stores (2) with -55.31%, Life Sciences Tools & Services (3) with -50.4% and Health Care Services (3) with -49.33%.
New highs and lows
All-time low : Shenzhen Overseas Chinese Town Co Ltd
One-year low (15) : Guangzhou Shiyuan Electronic Technology Co Ltd, Shanghai Yuyuan Tourist Mart Co Ltd, National Silicon Industry Group Co Ltd, Guangdong Kinlong Hardware Products Co Ltd, Guangzhou Kingmed Diagnostics Group Co Ltd, Gemdale Corp, Walvax BioTech, Trina Solar Co Ltd, Zhejiang Jingsheng Mech Electric, Yunnan Chuangxin New Material Co Ltd, Tongwei Co Ltd, JA Solar Technology Co Ltd, TCL Zhonghuan Renewable Energy Technology Co Ltd, China Vanke Co Ltd Class A and Sichuan Tianqi Lithium Industries Inc
Canada: The 257 stocks analysed are 56.03% long and ended the trading day with a weighted daily change of 0.18% and a weekly change of 0.75%.
There is one new buy (Tourmaline Oil Corp.) and one new sell (Mullen Group Ltd.).
There are also changes in the AIndexes: exits in Canada - L20 / L40.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 41.25% of the total and a change of 1.03%, followed by the "Growth" group accounting for 27.63% and a change of 0.66% and the "Value" group accounting for 31.13% and a change of 0.58%.
The change in the top 3 stock categories on 25th Apr are Metals & Mining - Silver (12) with 3.11%, Metals & Mining - Copper (4) with 3.04% and Metals & Mining - Diversified Metals & Mining (19) with 2.96%; at the bottom are Transportation - Road & Rail - Trucking (2) with -2.53%, Apparel / Accessories & Luxury Goods (2) with -2.42% and Systems Software with -2.39%.
In the last week, the best performers were: General Merchandise Stores (2) with 4.67%, Multi-Utilities (3) with 3.89% and Metals & Mining - Precious Metals & Minerals (5) with 3.19%; the worst: Transportation - Road & Rail - Trucking (2) with -3.29%, Transportation - Road & Rail - Railroads (2) with -2.84% and Diversified Support Services (2) with -2.67%.
Over the past month, the best performers were: Pharmaceuticals (10) with 60.34%, Metals & Mining - Silver (12) with 30.93% and Metals & Mining - Precious Metals & Minerals (5) with 28.87%; the worst: Construction Machinery & Heavy Trucks with -14.23%, Transportation - Road & Rail - Trucking (2) with -10.26% and Forest Products (6) with -8.42%.
For the past year, the best performers were: Pharmaceuticals (10) with 304.82%, Construction Machinery & Heavy Trucks with 250.03% and Coal & Consumable Fuels (3) with 103.57%; the worst: Renewable Electricity (5) with -31.76%, Office REITs (2) with -26.1% and Diversified REITs (2) with -20.78%.
New highs and lows
All-time high (4) : Dollarama Inc, Suncor Energy Inc, Shaw Communications Inc and Artemis Gold Inc
One-year high (10) : Agnico Eagle Mines Limited, AltaGas Ltd, HudBay Minerals Inc, Turquoise Hill Resources Ltd., Tricon Capital Group Inc, SilverCrest Metals Inc, Home Capital Group Inc., Methanex Corporation, Summit Industrial Income REIT and K92 Mining Inc
All-time low : Great Panther Mining Ltd
One-year low (4) : Canada Silver Cobalt Works Inc, Marathon Gold Corporation, Cascades Inc. and Ballard Power Systems Inc
Signals
There are also changes in the AIndexes: exits in Canada - L20 / L40.
Ranking
The change in the top 3 stock categories on 25th Apr are Metals & Mining - Silver (12) with 3.11%, Metals & Mining - Copper (4) with 3.04% and Metals & Mining - Diversified Metals & Mining (19) with 2.96%; at the bottom are Transportation - Road & Rail - Trucking (2) with -2.53%, Apparel / Accessories & Luxury Goods (2) with -2.42% and Systems Software with -2.39%.
In the last week, the best performers were: General Merchandise Stores (2) with 4.67%, Multi-Utilities (3) with 3.89% and Metals & Mining - Precious Metals & Minerals (5) with 3.19%; the worst: Transportation - Road & Rail - Trucking (2) with -3.29%, Transportation - Road & Rail - Railroads (2) with -2.84% and Diversified Support Services (2) with -2.67%.
Over the past month, the best performers were: Pharmaceuticals (10) with 60.34%, Metals & Mining - Silver (12) with 30.93% and Metals & Mining - Precious Metals & Minerals (5) with 28.87%; the worst: Construction Machinery & Heavy Trucks with -14.23%, Transportation - Road & Rail - Trucking (2) with -10.26% and Forest Products (6) with -8.42%.
For the past year, the best performers were: Pharmaceuticals (10) with 304.82%, Construction Machinery & Heavy Trucks with 250.03% and Coal & Consumable Fuels (3) with 103.57%; the worst: Renewable Electricity (5) with -31.76%, Office REITs (2) with -26.1% and Diversified REITs (2) with -20.78%.
New highs and lows
One-year high (10) : Agnico Eagle Mines Limited, AltaGas Ltd, HudBay Minerals Inc, Turquoise Hill Resources Ltd., Tricon Capital Group Inc, SilverCrest Metals Inc, Home Capital Group Inc., Methanex Corporation, Summit Industrial Income REIT and K92 Mining Inc
All-time low : Great Panther Mining Ltd
One-year low (4) : Canada Silver Cobalt Works Inc, Marathon Gold Corporation, Cascades Inc. and Ballard Power Systems Inc
Italy: The 256 stocks analysed are 42.58% long and ended the trading day with a weighted daily change of -0.57% and a weekly change of 1.01%.
There are 4 new buys (Sanlorenzo S.p.A, Servizi Italia S.p.A, Ucapital24 and Unipol Gruppo S.p.A.) and one new sell (Tamburi Investment Partners). With the new changes, long positions will increase by 1.17%.
There are also changes in the AIndexes: replacements in Italy - L40; new entries in Etf EUR Lack - L40, Italy - L10 / L20, Italy MIB 40 - L10 / L20, Italy PIR - Small - L10 / L20 and Italy PIR 30.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 24.22% of the total and a change of 1.44%, followed by the "Value" group accounting for 26.56% and a change of 0.94% and the "Lack" group accounting for 49.22% and a change of 0.68%.
The change in the top 3 stock categories on 25th Apr are Research & Consulting Services (4) with 5.41%, Textiles (4) with 2.77% and Commercial Printing with 1.94%; at the bottom are Real Estate Operating Companies (3) with -2.11%, Aerospace & Defense (4) with -1.92% and Technology Distributors (3) with -1.89%.
In the last week, the best performers were: Asset Management & Custody Banks (13) with 106.52%, Food & Staples Retailing - Food Distributors (2) with 4.99% and Multi-Utilities (4) with 4.83%; the worst: Construction Machinery & Heavy Trucks (2) with -4.91%, Oil & Gas Equipment & Services (2) with -4.62% and Restaurants with -2.49%.
Over the past month, the best performers were: Asset Management & Custody Banks (13) with 105.17%, Broadcasting (3) with 12.79% and Restaurants with 9.62%; the worst: Housewares & Specialties with -37.32%, Semiconductor Equipment (2) with -12.72% and Internet & Direct Marketing Retail (3) with -11.24%.
For the past year, the best performers were: Broadcasting (3) with 204.67%, Asset Management & Custody Banks (13) with 155.54% and Consumer Electronics (2) with 88.37%; the worst: Housewares & Specialties with -52.13%, Alternative Carriers (3) with -51.9% and Semiconductor Equipment (2) with -46.59%.
New highs and lows
All-time high (4) : Banca Popolare di Sondrio S.p.A., Banca Mediolanum SpA, SAES Getters S.p.A and Growens S.p.A.
One-year high (5) : BPER Banca SpA, Hera S.p.A, UnipolSai Assicurazioni SpA, GPI SpA and Net Insurance S.p.A
All-time low (7) : Softec, Monrif S.p.A, Gequity SpA, ePRICE S.p.A., KI Group, Iervolino Entertainment SpA and EEMS Italia SpA
One-year low (4) : Matica Fintec S.p.A, Brioschi Sviluppo Immobiliare S.p.A, Landi Renzo and NVP S.p.A
Signals
There are also changes in the AIndexes: replacements in Italy - L40; new entries in Etf EUR Lack - L40, Italy - L10 / L20, Italy MIB 40 - L10 / L20, Italy PIR - Small - L10 / L20 and Italy PIR 30.
Ranking
The change in the top 3 stock categories on 25th Apr are Research & Consulting Services (4) with 5.41%, Textiles (4) with 2.77% and Commercial Printing with 1.94%; at the bottom are Real Estate Operating Companies (3) with -2.11%, Aerospace & Defense (4) with -1.92% and Technology Distributors (3) with -1.89%.
In the last week, the best performers were: Asset Management & Custody Banks (13) with 106.52%, Food & Staples Retailing - Food Distributors (2) with 4.99% and Multi-Utilities (4) with 4.83%; the worst: Construction Machinery & Heavy Trucks (2) with -4.91%, Oil & Gas Equipment & Services (2) with -4.62% and Restaurants with -2.49%.
Over the past month, the best performers were: Asset Management & Custody Banks (13) with 105.17%, Broadcasting (3) with 12.79% and Restaurants with 9.62%; the worst: Housewares & Specialties with -37.32%, Semiconductor Equipment (2) with -12.72% and Internet & Direct Marketing Retail (3) with -11.24%.
For the past year, the best performers were: Broadcasting (3) with 204.67%, Asset Management & Custody Banks (13) with 155.54% and Consumer Electronics (2) with 88.37%; the worst: Housewares & Specialties with -52.13%, Alternative Carriers (3) with -51.9% and Semiconductor Equipment (2) with -46.59%.
New highs and lows
One-year high (5) : BPER Banca SpA, Hera S.p.A, UnipolSai Assicurazioni SpA, GPI SpA and Net Insurance S.p.A
All-time low (7) : Softec, Monrif S.p.A, Gequity SpA, ePRICE S.p.A., KI Group, Iervolino Entertainment SpA and EEMS Italia SpA
One-year low (4) : Matica Fintec S.p.A, Brioschi Sviluppo Immobiliare S.p.A, Landi Renzo and NVP S.p.A
Germany: The 201 stocks analysed are 46.27% long and ended the trading day with a weighted daily change of -1.1% and a weekly change of -0.15%.
There is one new buy (2G Energy AG). With the new changes, long positions will increase by 0.5%.
There are also changes in the AIndexes: new entries in Stock EUR Growth - L05 / L10 / L40; exits in Etf Global Low Risk - L20.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 16.92% of the total and a change of 1.76%, followed by the "Value" group accounting for 35.32% and a change of -0.09% and the "Lack" group accounting for 47.76% and a change of -1.08%.
The change in the top 3 stock categories on 25th Apr are Semiconductors (2) with 3.67%, Food & Staples Retailing - Food Retail (2) with 2.56% and Building Products (2) with 0.91%; at the bottom are Auto Parts & Equipment (8) with -4.65%, Diversified Real Estate Activities (2) with -4.04% and Electrical Components & Equipment (3) with -3.46%.
In the last week, the best performers were: Building Products (2) with 10.66%, Semiconductors (2) with 6.08% and Integrated Telecommunication Services (3) with 4.9%; the worst: Life Sciences Tools & Services (4) with -6.94%, Home Furnishings with -5.69% and Transportation - Road & Rail - Trucking (2) with -5.6%.
Over the past month, the best performers were: Diversified Real Estate Activities (2) with 13.25%, Building Products (2) with 13.12% and Movies & Entertainment (2) with 10.44%; the worst: Electrical Components & Equipment (3) with -21.62%, Home Furnishings with -16.9% and Life Sciences Tools & Services (4) with -16.35%.
For the past year, the best performers were: Biotechnology (3) with 132.27%, Investment Banking & Brokerage (2) with 55.05% and Systems Software with 49.47%; the worst: Food & Staples Retailing - Food Retail (2) with -61.75%, Electrical Components & Equipment (3) with -53.86% and Diversified Real Estate Activities (2) with -45.52%.
New highs and lows
One-year high (7) : Deutsche Bank Aktiengesellschaft, Deutsche Post AG, Commerzbank AG, MBB SE, home24 SE, ADLER Real Estate AG and SNP Schneider-Neureither & Partner SE
All-time low (3) : Manz AG, Leoni Ag and Adler Group SA
One-year low (3) : Heidelberger Druckmaschinen Aktiengesellschaft, Bertrandt Aktiengesellschaft and Dermapharm Holding SE
Signals
There are also changes in the AIndexes: new entries in Stock EUR Growth - L05 / L10 / L40; exits in Etf Global Low Risk - L20.
Ranking
The change in the top 3 stock categories on 25th Apr are Semiconductors (2) with 3.67%, Food & Staples Retailing - Food Retail (2) with 2.56% and Building Products (2) with 0.91%; at the bottom are Auto Parts & Equipment (8) with -4.65%, Diversified Real Estate Activities (2) with -4.04% and Electrical Components & Equipment (3) with -3.46%.
In the last week, the best performers were: Building Products (2) with 10.66%, Semiconductors (2) with 6.08% and Integrated Telecommunication Services (3) with 4.9%; the worst: Life Sciences Tools & Services (4) with -6.94%, Home Furnishings with -5.69% and Transportation - Road & Rail - Trucking (2) with -5.6%.
Over the past month, the best performers were: Diversified Real Estate Activities (2) with 13.25%, Building Products (2) with 13.12% and Movies & Entertainment (2) with 10.44%; the worst: Electrical Components & Equipment (3) with -21.62%, Home Furnishings with -16.9% and Life Sciences Tools & Services (4) with -16.35%.
For the past year, the best performers were: Biotechnology (3) with 132.27%, Investment Banking & Brokerage (2) with 55.05% and Systems Software with 49.47%; the worst: Food & Staples Retailing - Food Retail (2) with -61.75%, Electrical Components & Equipment (3) with -53.86% and Diversified Real Estate Activities (2) with -45.52%.
New highs and lows
All-time low (3) : Manz AG, Leoni Ag and Adler Group SA
One-year low (3) : Heidelberger Druckmaschinen Aktiengesellschaft, Bertrandt Aktiengesellschaft and Dermapharm Holding SE
Sweden: The 181 stocks analysed are 50.28% long and ended the trading day with a weighted daily change of -1.83% and a weekly change of -0.56%.
There are 5 new sell (BHG Group AB publ, Investment AB Latour publ, Inwido AB, New Wave Group AB publ and Nyfosa AB publ). With the new changes, long positions will decrease by 2.76%.
There are also changes in the AIndexes: exits in STOXX Europe 600 - Nordic - L10 / L20 / L40.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 24.86% of the total and a change of 0.81%, followed by the "Value" group accounting for 33.15% and a change of -0.6% and the "Lack" group accounting for 41.99% and a change of -1.78%.
The change in the top 3 stock categories on 25th Apr are Health Care Supplies (3) with 7.19%, Oil & Gas Exploration & Production with 5% and Leisure Products (2) with 3.27%; at the bottom are Internet & Direct Marketing Retail (3) with -7.29%, Trading Companies & Distributors (4) with -5.25% and Interactive Home Entertainment (6) with -4.91%.
In the last week, the best performers were: Oil & Gas Exploration & Production with 17.28%, Health Care Supplies (3) with 15.64% and Health Care Equipment (5) with 3.97%; the worst: Internet & Direct Marketing Retail (3) with -9.25%, Homebuilding (2) with -7.8% and Health Care Facilities (2) with -4.86%.
Over the past month, the best performers were: Oil & Gas Exploration & Production with 66.19%, Health Care Supplies (3) with 24.31% and Interactive Home Entertainment (6) with 16.64%; the worst: Diversified Support Services (3) with -15.57%, Application Software (3) with -10.37% and Pharmaceuticals (4) with -7.9%.
For the past year, the best performers were: Pharmaceuticals (4) with 54.41%, Health Care Facilities (2) with 51.61% and Aerospace & Defense (3) with 47.16%; the worst: Oil & Gas Exploration & Production with -80.53%, Diversified Support Services (3) with -52.48% and Electrical Components & Equipment (4) with -49.48%.
New highs and lows
All-time high (6) : Bonesupport Holding AB, Munters Group AB, Atlas Copco AB Series A, Alfa Laval AB, VBG Group AB (publ) and Granges AB (publ)
One-year high (2) : AAK AB and Stora Enso Oyj ser. R
All-time low : Thunderful Group AB
One-year low (2) : G5 Entertainment publ AB and Paradox Interactive AB (publ)
Signals
There are also changes in the AIndexes: exits in STOXX Europe 600 - Nordic - L10 / L20 / L40.
Ranking
The change in the top 3 stock categories on 25th Apr are Health Care Supplies (3) with 7.19%, Oil & Gas Exploration & Production with 5% and Leisure Products (2) with 3.27%; at the bottom are Internet & Direct Marketing Retail (3) with -7.29%, Trading Companies & Distributors (4) with -5.25% and Interactive Home Entertainment (6) with -4.91%.
In the last week, the best performers were: Oil & Gas Exploration & Production with 17.28%, Health Care Supplies (3) with 15.64% and Health Care Equipment (5) with 3.97%; the worst: Internet & Direct Marketing Retail (3) with -9.25%, Homebuilding (2) with -7.8% and Health Care Facilities (2) with -4.86%.
Over the past month, the best performers were: Oil & Gas Exploration & Production with 66.19%, Health Care Supplies (3) with 24.31% and Interactive Home Entertainment (6) with 16.64%; the worst: Diversified Support Services (3) with -15.57%, Application Software (3) with -10.37% and Pharmaceuticals (4) with -7.9%.
For the past year, the best performers were: Pharmaceuticals (4) with 54.41%, Health Care Facilities (2) with 51.61% and Aerospace & Defense (3) with 47.16%; the worst: Oil & Gas Exploration & Production with -80.53%, Diversified Support Services (3) with -52.48% and Electrical Components & Equipment (4) with -49.48%.
New highs and lows
One-year high (2) : AAK AB and Stora Enso Oyj ser. R
All-time low : Thunderful Group AB
One-year low (2) : G5 Entertainment publ AB and Paradox Interactive AB (publ)
Switzerland: The 174 stocks analysed are 47.7% long and ended the trading day with a weighted daily change of -0.86% and a weekly change of -0.73%.
There is one new sell (Softwareone Holding). With the new changes, long positions will decrease by 0.57%.
There are also changes in the AIndexes: exits in Switzerland - L10.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 36.21% of the total and a change of -0.56%, followed by the "Lack" group accounting for 43.1% and a change of -0.77% and the "Growth" group accounting for 20.69% and a change of -0.96%.
The change in the top 3 stock categories on 25th Apr are Semiconductors (3) with 2.07%, Electrical Components & Equipment (7) with 1.84% and Investment Banking & Brokerage (4) with 1.09%; at the bottom are Biotechnology (6) with -4.11%, Construction & Engineering (3) with -2.9% and Health Care Supplies (5) with -2.68%.
In the last week, the best performers were: Semiconductors (3) with 7.81%, Transportation - Road & Rail - Railroads (2) with 3.03% and Electrical Components & Equipment (7) with 2.37%; the worst: Application Software (2) with -12.49%, Biotechnology (6) with -8.01% and Industrial Machinery (23) with -6.22%.
Over the past month, the best performers were: Transportation - Road & Rail - Railroads (2) with 10.9%, Construction & Engineering (3) with 2.71% and Investment Banking & Brokerage (4) with 1.65%; the worst: Real Estate Operating Companies (6) with -19.67%, Application Software (2) with -10.54% and Industrial Machinery (23) with -7.82%.
For the past year, the best performers were: Biotechnology (6) with 183.57%, Semiconductors (3) with 114.81% and Transportation - Road & Rail - Railroads (2) with 44.43%; the worst: Diversified Capital Markets with -25.89%, Apparel / Accessories & Luxury Goods (4) with -21.82% and Real Estate Operating Companies (6) with -18.82%.
New highs and lows
All-time high (2) : Compagnie Financiere Tradition and Berner Kantonalbank AG
One-year high (2) : Clariant AG and SF Urban Properties AG
All-time low : Blackstone Resources AG
One-year low (10) : Perfect Holding SA, Aevis Victoria SA, Coltene Holding AG, PIERER Mobility AG, Schweiter Technologies AG, Bystronic AG, Bobst Group SA, Temenos Group AG, Nestle S.A. and Dufry AG
Signals
There are also changes in the AIndexes: exits in Switzerland - L10.
Ranking
The change in the top 3 stock categories on 25th Apr are Semiconductors (3) with 2.07%, Electrical Components & Equipment (7) with 1.84% and Investment Banking & Brokerage (4) with 1.09%; at the bottom are Biotechnology (6) with -4.11%, Construction & Engineering (3) with -2.9% and Health Care Supplies (5) with -2.68%.
In the last week, the best performers were: Semiconductors (3) with 7.81%, Transportation - Road & Rail - Railroads (2) with 3.03% and Electrical Components & Equipment (7) with 2.37%; the worst: Application Software (2) with -12.49%, Biotechnology (6) with -8.01% and Industrial Machinery (23) with -6.22%.
Over the past month, the best performers were: Transportation - Road & Rail - Railroads (2) with 10.9%, Construction & Engineering (3) with 2.71% and Investment Banking & Brokerage (4) with 1.65%; the worst: Real Estate Operating Companies (6) with -19.67%, Application Software (2) with -10.54% and Industrial Machinery (23) with -7.82%.
For the past year, the best performers were: Biotechnology (6) with 183.57%, Semiconductors (3) with 114.81% and Transportation - Road & Rail - Railroads (2) with 44.43%; the worst: Diversified Capital Markets with -25.89%, Apparel / Accessories & Luxury Goods (4) with -21.82% and Real Estate Operating Companies (6) with -18.82%.
New highs and lows
One-year high (2) : Clariant AG and SF Urban Properties AG
All-time low : Blackstone Resources AG
One-year low (10) : Perfect Holding SA, Aevis Victoria SA, Coltene Holding AG, PIERER Mobility AG, Schweiter Technologies AG, Bystronic AG, Bobst Group SA, Temenos Group AG, Nestle S.A. and Dufry AG
France: The 168 stocks analysed are 52.98% long and ended the trading day with a weighted daily change of -1.08% and a weekly change of -0.3%.
There is one new buy (Compagnie des Alpes SA). With the new changes, long positions will increase by 0.6%.
There are also changes in the AIndexes: new entries in Stock EUR Mix 25.
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 0.19%, followed by the "Growth" group accounting for 19.05% and a change of -0.23% and the "Lack" group accounting for 44.05% and a change of -0.89%.
The change in the top 3 stock categories on 25th Apr are Renewable Electricity with 1.38%, Human Resource & Employment Services (2) with 1.3% and Metal & Glass Containers (2) with 1.25%; at the bottom are Semiconductors (3) with -4.94%, Application Software (2) with -3.67% and Food & Staples Retailing - Food Retail (2) with -3.4%.
In the last week, the best performers were: Retail REITs (2) with 4.25%, Diversified Banks (3) with 3.36% and Movies & Entertainment (3) with 3.26%; the worst: Health Care Facilities with -6.9%, Oil & Gas Exploration & Production with -5.09% and Auto Parts & Equipment (5) with -4.87%.
Over the past month, the best performers were: Human Resource & Employment Services (2) with 11.56%, Renewable Electricity with 10.78% and Oil & Gas Exploration & Production with 10.29%; the worst: Food & Staples Retailing - Food Retail (2) with -43.06%, Movies & Entertainment (3) with -15.97% and Life Sciences Tools & Services (2) with -10.91%.
For the past year, the best performers were: Oil & Gas Exploration & Production with 86.75%, Health Care Supplies (2) with 53.95% and Semiconductors (3) with 51.96%; the worst: Food & Staples Retailing - Food Retail (2) with -98.73%, Health Care Facilities with -68.07% and Industrial Machinery (3) with -67.96%.
All-time high : BNP Paribas SA
One-year high (6) : Klepierre SA, Vilmorin & Cie SA, Guerbet S. A., Carmila SA, Synergie SE and AKKA Technologies SE
Signals
There are also changes in the AIndexes: new entries in Stock EUR Mix 25.
Ranking
The change in the top 3 stock categories on 25th Apr are Renewable Electricity with 1.38%, Human Resource & Employment Services (2) with 1.3% and Metal & Glass Containers (2) with 1.25%; at the bottom are Semiconductors (3) with -4.94%, Application Software (2) with -3.67% and Food & Staples Retailing - Food Retail (2) with -3.4%.
In the last week, the best performers were: Retail REITs (2) with 4.25%, Diversified Banks (3) with 3.36% and Movies & Entertainment (3) with 3.26%; the worst: Health Care Facilities with -6.9%, Oil & Gas Exploration & Production with -5.09% and Auto Parts & Equipment (5) with -4.87%.
Over the past month, the best performers were: Human Resource & Employment Services (2) with 11.56%, Renewable Electricity with 10.78% and Oil & Gas Exploration & Production with 10.29%; the worst: Food & Staples Retailing - Food Retail (2) with -43.06%, Movies & Entertainment (3) with -15.97% and Life Sciences Tools & Services (2) with -10.91%.
For the past year, the best performers were: Oil & Gas Exploration & Production with 86.75%, Health Care Supplies (2) with 53.95% and Semiconductors (3) with 51.96%; the worst: Food & Staples Retailing - Food Retail (2) with -98.73%, Health Care Facilities with -68.07% and Industrial Machinery (3) with -67.96%.
New highs
One-year high (6) : Klepierre SA, Vilmorin & Cie SA, Guerbet S. A., Carmila SA, Synergie SE and AKKA Technologies SE
Korea: The 149 stocks analysed are 34.9% long and ended the trading day with a weighted daily change of -0.95% and a weekly change of 2.02%.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 33.56% of the total and a change of 2.81%, followed by the "Growth" group accounting for 12.75% and a change of 1.9% and the "Lack" group accounting for 53.69% and a change of 1.42%.
The change in the top 3 stock categories on 25th Apr are Department Stores (3) with 1.31%, Life & Health Insurance (2) with 1.23% and Aerospace & Defense (3) with 0.73%; at the bottom are Construction Materials (2) with -4.24%, Semiconductors (3) with -3.32% and Construction Machinery & Heavy Trucks (6) with -2.97%.
In the last week, the best performers were: Life & Health Insurance (2) with 10.67%, Aerospace & Defense (3) with 8.1% and Construction Materials (2) with 6.38%; the worst: Semiconductors (3) with -6.18%, Movies & Entertainment (2) with -6.1% and Interactive Home Entertainment (5) with -2.59%.
Over the past month, the best performers were: Construction Machinery & Heavy Trucks (6) with 9.76%, Personal Products (3) with 8.49% and Aerospace & Defense (3) with 7.15%; the worst: Pharmaceuticals (7) with -14.44%, Interactive Home Entertainment (5) with -10.9% and Specialty Chemicals (2) with -10.37%.
For the past year, the best performers were: Biotechnology (7) with 113.79%, Aerospace & Defense (3) with 65.7% and Semiconductors (3) with 58.9%; the worst: Apparel / Accessories & Luxury Goods (2) with -37.36%, Electronic Components (6) with -32.65% and Food & Staples Retailing - Food Retail (2) with -30.07%.
New highs and lows
One-year high (2) : Korea Shipbuilding & Offshore Engineering Co Ltd and BNK Financial Group Inc
One-year low : DB HiTek Co Ltd
Ranking
The change in the top 3 stock categories on 25th Apr are Department Stores (3) with 1.31%, Life & Health Insurance (2) with 1.23% and Aerospace & Defense (3) with 0.73%; at the bottom are Construction Materials (2) with -4.24%, Semiconductors (3) with -3.32% and Construction Machinery & Heavy Trucks (6) with -2.97%.
In the last week, the best performers were: Life & Health Insurance (2) with 10.67%, Aerospace & Defense (3) with 8.1% and Construction Materials (2) with 6.38%; the worst: Semiconductors (3) with -6.18%, Movies & Entertainment (2) with -6.1% and Interactive Home Entertainment (5) with -2.59%.
Over the past month, the best performers were: Construction Machinery & Heavy Trucks (6) with 9.76%, Personal Products (3) with 8.49% and Aerospace & Defense (3) with 7.15%; the worst: Pharmaceuticals (7) with -14.44%, Interactive Home Entertainment (5) with -10.9% and Specialty Chemicals (2) with -10.37%.
For the past year, the best performers were: Biotechnology (7) with 113.79%, Aerospace & Defense (3) with 65.7% and Semiconductors (3) with 58.9%; the worst: Apparel / Accessories & Luxury Goods (2) with -37.36%, Electronic Components (6) with -32.65% and Food & Staples Retailing - Food Retail (2) with -30.07%.
New highs and lows
One-year low : DB HiTek Co Ltd
Spain: The 101 stocks analysed are 51.49% long and ended the trading day with a weighted daily change of -0.46% and a weekly change of 1%.
There are 2 new buys (Bodegas Riojanas S.A. and Coca-Cola European Partners PLC). With the new changes, long positions will increase by 1.98%.
There are also changes in the AIndexes: new entries in Spain - L40.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 49.5% of the total and a change of 1.51%, followed by the "Lack" group accounting for 33.66% and a change of 0.73% and the "Growth" group accounting for 16.83% and a change of 0.11%.
The change in the top 3 stock categories on 25th Apr are Pharmaceuticals (4) with 3%, Diversified Banks (6) with 2.06% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 1.62%; at the bottom are Renewable Electricity (4) with -2.46%, Auto Parts & Equipment (2) with -2.14% and IT Consulting & Other Services (2) with -1.8%.
In the last week, the best performers were: Paper Products (3) with 7.73%, Pharmaceuticals (4) with 4.21% and Security & Alarm Services (2) with 4.18%; the worst: Renewable Electricity (4) with -5.56%, Communications Equipment with -4.89% and Diversified REITs (2) with -2.22%.
Over the past month, the best performers were: Communications Equipment with 59.15%, Gas Utilities (2) with 10.87% and Diversified Banks (6) with 9.41%; the worst: Auto Parts & Equipment (2) with -3.8%, Construction Machinery & Heavy Trucks (2) with -3.74% and Industrial Machinery (4) with -2.85%.
For the past year, the best performers were: Pharmaceuticals (4) with 44.05%, Diversified Banks (6) with 43.84% and Diversified REITs (2) with 31.1%; the worst: Communications Equipment with -51.54%, Auto Parts & Equipment (2) with -18.03% and Biotechnology (3) with -16.71%.
New highs and lows
All-time high (7) : Laboratorios Farmaceuticos ROVI, Caixabank SA, Bankinter, Elecnor S.A, Coca-Cola European Partners PLC, Grupo Catalana Occidente and Nicolas Correa SA
One-year high (6) : Banco de Sabadell S.A, Banco Santander, Merlin Properties SOCIMI SA, Atresmedia Corporacion de Medios de Comunicacion S.A., Unicaja Banco SA and Iberpapel Gestion SA
All-time low : Codere S.A
Signals
There are also changes in the AIndexes: new entries in Spain - L40.
Ranking
The change in the top 3 stock categories on 25th Apr are Pharmaceuticals (4) with 3%, Diversified Banks (6) with 2.06% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 1.62%; at the bottom are Renewable Electricity (4) with -2.46%, Auto Parts & Equipment (2) with -2.14% and IT Consulting & Other Services (2) with -1.8%.
In the last week, the best performers were: Paper Products (3) with 7.73%, Pharmaceuticals (4) with 4.21% and Security & Alarm Services (2) with 4.18%; the worst: Renewable Electricity (4) with -5.56%, Communications Equipment with -4.89% and Diversified REITs (2) with -2.22%.
Over the past month, the best performers were: Communications Equipment with 59.15%, Gas Utilities (2) with 10.87% and Diversified Banks (6) with 9.41%; the worst: Auto Parts & Equipment (2) with -3.8%, Construction Machinery & Heavy Trucks (2) with -3.74% and Industrial Machinery (4) with -2.85%.
For the past year, the best performers were: Pharmaceuticals (4) with 44.05%, Diversified Banks (6) with 43.84% and Diversified REITs (2) with 31.1%; the worst: Communications Equipment with -51.54%, Auto Parts & Equipment (2) with -18.03% and Biotechnology (3) with -16.71%.
New highs and lows
One-year high (6) : Banco de Sabadell S.A, Banco Santander, Merlin Properties SOCIMI SA, Atresmedia Corporacion de Medios de Comunicacion S.A., Unicaja Banco SA and Iberpapel Gestion SA
All-time low : Codere S.A
Denmark: The 93 stocks analysed are 48.39% long and ended the trading day with a weighted daily change of -1.42% and a weekly change of 0.25%.
There are 2 new buys (Copenhagen Airports AS and Royal Unibrew A/S) and one new sell (cBrain A/S). With the new changes, long positions will increase by 1.08%.
There are also changes in the AIndexes: replacements in Denmark - L40; new entries in Denmark - L10 / L20.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 20.43% of the total and a change of 2.08%, followed by the "Lack" group accounting for 41.94% and a change of 0.41% and the "Growth" group accounting for 37.63% and a change of -0.87%.
The change in the top 3 stock categories on 25th Apr are Food / Beverage & Tobacco - Brewers (3) with 2.27%, Real Estate Operating Companies (4) with 0.9% and Food / Beverage & Tobacco - Agricultural Products with 0.84%; at the bottom are Application Software (3) with -4.84%, Consumer Electronics (3) with -3.13% and Transportation - Air Freight & Logistics with -2.63%.
In the last week, the best performers were: Food / Beverage & Tobacco - Brewers (3) with 13.67%, Movies & Entertainment (2) with 6.76% and Consumer Electronics (3) with 5.63%; the worst: Transportation - Air Freight & Logistics with -6.7%, Electrical Components & Equipment (2) with -4.5% and Transportation - Road & Rail - Trucking (2) with -4.1%.
Over the past month, the best performers were: Food / Beverage & Tobacco - Brewers (3) with 15.38%, Movies & Entertainment (2) with 12.24% and Specialty Chemicals with 3.29%; the worst: Pharmaceuticals with -27.03%, Application Software (3) with -11.84% and Biotechnology (5) with -10.05%.
For the past year, the best performers were: Biotechnology (5) with 9588.8%, Application Software (3) with 59.91% and Electrical Components & Equipment (2) with 59.46%; the worst: Transportation - Road & Rail - Trucking (2) with -38.71%, Communications Equipment (2) with -35.02% and Transportation - Marine (4) with -25.85%.
New highs and lows
All-time high : Totalbanken A/S
One-year high (4) : Novozymes A/S, Harboes Bryggeri A/S, Columbus A/S and Silkeborg IF Invest A/S
One-year low : Solar A/S
Signals
There are also changes in the AIndexes: replacements in Denmark - L40; new entries in Denmark - L10 / L20.
Ranking
The change in the top 3 stock categories on 25th Apr are Food / Beverage & Tobacco - Brewers (3) with 2.27%, Real Estate Operating Companies (4) with 0.9% and Food / Beverage & Tobacco - Agricultural Products with 0.84%; at the bottom are Application Software (3) with -4.84%, Consumer Electronics (3) with -3.13% and Transportation - Air Freight & Logistics with -2.63%.
In the last week, the best performers were: Food / Beverage & Tobacco - Brewers (3) with 13.67%, Movies & Entertainment (2) with 6.76% and Consumer Electronics (3) with 5.63%; the worst: Transportation - Air Freight & Logistics with -6.7%, Electrical Components & Equipment (2) with -4.5% and Transportation - Road & Rail - Trucking (2) with -4.1%.
Over the past month, the best performers were: Food / Beverage & Tobacco - Brewers (3) with 15.38%, Movies & Entertainment (2) with 12.24% and Specialty Chemicals with 3.29%; the worst: Pharmaceuticals with -27.03%, Application Software (3) with -11.84% and Biotechnology (5) with -10.05%.
For the past year, the best performers were: Biotechnology (5) with 9588.8%, Application Software (3) with 59.91% and Electrical Components & Equipment (2) with 59.46%; the worst: Transportation - Road & Rail - Trucking (2) with -38.71%, Communications Equipment (2) with -35.02% and Transportation - Marine (4) with -25.85%.
New highs and lows
One-year high (4) : Novozymes A/S, Harboes Bryggeri A/S, Columbus A/S and Silkeborg IF Invest A/S
One-year low : Solar A/S
Singapore: The 75 stocks analysed are 42.67% long and ended the trading day with a weighted daily change of -0.1% and a weekly change of 2.47%.
There is one new buy (iFAST Corp Pte Ltd). With the new changes, long positions will increase by 1.33%.
There are also changes in the AIndexes: new entries in Singapore - L40.
Stocks ranked by performance class had the best weekly returns with the "Lack" group accounting for 57.33% of the total and a change of 2.9%, followed by the "Growth" group accounting for 10.67% and a change of 2.56% and the "Value" group accounting for 32% and a change of 1.81%.
The change in the top 3 stock categories on 25th Apr are Construction Machinery & Heavy Trucks (2) with 2.18%, Food / Beverage & Tobacco - Packaged Foods & Meats (4) with 2.06% and Real Estate Development (3) with 0.99%; at the bottom are Office REITs (4) with -1.24%, Health Care Facilities (2) with -1.24% and Transportation - Road & Rail - Trucking (2) with -1.15%.
In the last week, the best performers were: Construction Machinery & Heavy Trucks (2) with 9.2%, Transportation - Air Freight & Logistics (2) with 6.68% and Diversified Real Estate Activities (3) with 3.99%; the worst: Real Estate Development (3) with 0.66%, Health Care Facilities (2) with 0.71% and Food / Beverage & Tobacco - Agricultural Products (4) with 0.81%.
Over the past month, the best performers were: Diversified Banks (3) with 6.72%, Transportation - Road & Rail - Trucking (2) with 5.7% and Food / Beverage & Tobacco - Packaged Foods & Meats (4) with 4.79%; the worst: Real Estate Development (3) with -4.54%, Industrial REITs (7) with -2.54% and Hotel & Resort REITs (3) with -2.31%.
For the past year, the best performers were: Transportation - Road & Rail - Trucking (2) with 24.69%, Health Care Supplies with 23.96% and Multi-Utilities (2) with 17.33%; the worst: Real Estate Development (3) with -31.81%, Health Care Facilities (2) with -28.16% and Office REITs (4) with -23.32%.
New highs and lows
All-time high : Oversea-chinese Banking Corp
One-year high (2) : Comfortdelgro Corporation Ltd and Japfa Ltd.
All-time low : Yanlord Land Group Limited
One-year low (2) : CapitaLand Retail China Trust ( and Delfi Limited
Signals
There are also changes in the AIndexes: new entries in Singapore - L40.
Ranking
The change in the top 3 stock categories on 25th Apr are Construction Machinery & Heavy Trucks (2) with 2.18%, Food / Beverage & Tobacco - Packaged Foods & Meats (4) with 2.06% and Real Estate Development (3) with 0.99%; at the bottom are Office REITs (4) with -1.24%, Health Care Facilities (2) with -1.24% and Transportation - Road & Rail - Trucking (2) with -1.15%.
In the last week, the best performers were: Construction Machinery & Heavy Trucks (2) with 9.2%, Transportation - Air Freight & Logistics (2) with 6.68% and Diversified Real Estate Activities (3) with 3.99%; the worst: Real Estate Development (3) with 0.66%, Health Care Facilities (2) with 0.71% and Food / Beverage & Tobacco - Agricultural Products (4) with 0.81%.
Over the past month, the best performers were: Diversified Banks (3) with 6.72%, Transportation - Road & Rail - Trucking (2) with 5.7% and Food / Beverage & Tobacco - Packaged Foods & Meats (4) with 4.79%; the worst: Real Estate Development (3) with -4.54%, Industrial REITs (7) with -2.54% and Hotel & Resort REITs (3) with -2.31%.
For the past year, the best performers were: Transportation - Road & Rail - Trucking (2) with 24.69%, Health Care Supplies with 23.96% and Multi-Utilities (2) with 17.33%; the worst: Real Estate Development (3) with -31.81%, Health Care Facilities (2) with -28.16% and Office REITs (4) with -23.32%.
New highs and lows
One-year high (2) : Comfortdelgro Corporation Ltd and Japfa Ltd.
All-time low : Yanlord Land Group Limited
One-year low (2) : CapitaLand Retail China Trust ( and Delfi Limited
Netherlands: The 60 stocks analysed are 53.33% long and ended the trading day with a weighted daily change of -1% and a weekly change of -0.23%.
There is one new sell (Adyen NV). With the new changes, long positions will decrease by 1.67%.
There are no changes in the AIndexes.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 20% of the total and a change of 0.43%, followed by the "Value" group accounting for 35% and a change of 0.42% and the "Lack" group accounting for 45% and a change of -1.21%.
The change in the top 3 stock categories on 25th Apr are Food / Beverage & Tobacco - Brewers (2) with 0.35%, Diversified Banks (2) with -0.02% and Life & Health Insurance (2) with -0.17%; at the bottom are Heavy Electrical Equipment (2) with -3.07%, Biotechnology (2) with -2.35% and Transportation - Air Freight & Logistics (2) with -2.12%.
In the last week, the best performers were: Food / Beverage & Tobacco - Brewers (2) with 5.24%, Integrated Oil & Gas with 3.58% and Life & Health Insurance (2) with 1.9%; the worst: Asset Management & Custody Banks (2) with -5.45%, Heavy Electrical Equipment (2) with -3.97% and Human Resource & Employment Services (2) with -3.73%.
Over the past month, the best performers were: Integrated Oil & Gas with 13.64%, Retail REITs (4) with 9.8% and Construction & Engineering (3) with 8.73%; the worst: Heavy Electrical Equipment (2) with -24.32%, Biotechnology (2) with -13.18% and Metals & Mining - Steel (2) with -6.39%.
For the past year, the best performers were: Construction & Engineering (3) with 71.81%, Semiconductor Equipment (3) with 61.29% and Life & Health Insurance (2) with 37.66%; the worst: Heavy Electrical Equipment (2) with -41.59%, Specialty Chemicals (4) with -18.7% and Biotechnology (2) with -15.93%.
New highs and lows
All-time high (2) : Arcadis N.V. and Hunter Douglas N.V
One-year high (2) : Koninklijke KPN NV and B&S Group SA
One-year low : Galapagos N.V.
Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 25th Apr are Food / Beverage & Tobacco - Brewers (2) with 0.35%, Diversified Banks (2) with -0.02% and Life & Health Insurance (2) with -0.17%; at the bottom are Heavy Electrical Equipment (2) with -3.07%, Biotechnology (2) with -2.35% and Transportation - Air Freight & Logistics (2) with -2.12%.
In the last week, the best performers were: Food / Beverage & Tobacco - Brewers (2) with 5.24%, Integrated Oil & Gas with 3.58% and Life & Health Insurance (2) with 1.9%; the worst: Asset Management & Custody Banks (2) with -5.45%, Heavy Electrical Equipment (2) with -3.97% and Human Resource & Employment Services (2) with -3.73%.
Over the past month, the best performers were: Integrated Oil & Gas with 13.64%, Retail REITs (4) with 9.8% and Construction & Engineering (3) with 8.73%; the worst: Heavy Electrical Equipment (2) with -24.32%, Biotechnology (2) with -13.18% and Metals & Mining - Steel (2) with -6.39%.
For the past year, the best performers were: Construction & Engineering (3) with 71.81%, Semiconductor Equipment (3) with 61.29% and Life & Health Insurance (2) with 37.66%; the worst: Heavy Electrical Equipment (2) with -41.59%, Specialty Chemicals (4) with -18.7% and Biotechnology (2) with -15.93%.
New highs and lows
One-year high (2) : Koninklijke KPN NV and B&S Group SA
One-year low : Galapagos N.V.
Norway: The 59 stocks analysed are 55.93% long and ended the trading day with a weighted daily change of -0.16% and a weekly change of 2.4%.
There is one new sell (Europris ASA). With the new changes, long positions will decrease by 1.69%.
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 4.43%, followed by the "Growth" group accounting for 37.29% and a change of 2.15% and the "Lack" group accounting for 40.68% and a change of 1.47%.
The change in the top 3 stock categories on 25th Apr are Multi-line Insurance (2) with 3.3%, IT Consulting & Other Services (2) with 1.72% and Food / Beverage & Tobacco - Packaged Foods & Meats (9) with 1.63%; at the bottom are Industrial Machinery (3) with -7.41%, Oil & Gas Storage & Transportation (3) with -1.98% and Publishing (2) with -1.43%.
In the last week, the best performers were: Transportation - Marine (6) with 9.21%, Multi-line Insurance (2) with 6.98% and IT Consulting & Other Services (2) with 5.22%; the worst: Industrial Machinery (3) with -3.64%, Oil & Gas Exploration & Production (2) with -1.74% and Oil & Gas Equipment & Services (3) with -1.51%.
Over the past month, the best performers were: Transportation - Marine (6) with 22.57%, Oil & Gas Storage & Transportation (3) with 10.41% and Multi-line Insurance (2) with 9.68%; the worst: Industrial Machinery (3) with -14.08%, Specialty Chemicals (2) with -5.53% and Publishing (2) with -3.66%.
For the past year, the best performers were: Oil & Gas Storage & Transportation (3) with 89.69%, Publishing (2) with 83.72% and Transportation - Marine (6) with 49.66%; the worst: Industrial Machinery (3) with -26.98%, Specialty Chemicals (2) with -23.5% and IT Consulting & Other Services (2) with -2.74%.
All-time high (2) : Odfjell SE and Storebrand ASA
One-year high (2) : Golden Ocean Group Ltd and MPC Container Ships ASA
Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 25th Apr are Multi-line Insurance (2) with 3.3%, IT Consulting & Other Services (2) with 1.72% and Food / Beverage & Tobacco - Packaged Foods & Meats (9) with 1.63%; at the bottom are Industrial Machinery (3) with -7.41%, Oil & Gas Storage & Transportation (3) with -1.98% and Publishing (2) with -1.43%.
In the last week, the best performers were: Transportation - Marine (6) with 9.21%, Multi-line Insurance (2) with 6.98% and IT Consulting & Other Services (2) with 5.22%; the worst: Industrial Machinery (3) with -3.64%, Oil & Gas Exploration & Production (2) with -1.74% and Oil & Gas Equipment & Services (3) with -1.51%.
Over the past month, the best performers were: Transportation - Marine (6) with 22.57%, Oil & Gas Storage & Transportation (3) with 10.41% and Multi-line Insurance (2) with 9.68%; the worst: Industrial Machinery (3) with -14.08%, Specialty Chemicals (2) with -5.53% and Publishing (2) with -3.66%.
For the past year, the best performers were: Oil & Gas Storage & Transportation (3) with 89.69%, Publishing (2) with 83.72% and Transportation - Marine (6) with 49.66%; the worst: Industrial Machinery (3) with -26.98%, Specialty Chemicals (2) with -23.5% and IT Consulting & Other Services (2) with -2.74%.
New highs
One-year high (2) : Golden Ocean Group Ltd and MPC Container Ships ASA
Finland: The 50 stocks analysed are 50% long and ended the trading day with a weighted daily change of -1.89% and a weekly change of -0.91%.
There is one new buy (Tecnotree Oyj) and one new sell (Valmet Oyj)
There are no changes in the AIndexes.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 26% of the total and a change of 0.3%, followed by the "Growth" group accounting for 28% and a change of -0.97% and the "Lack" group accounting for 46% and a change of -1.71%.
The change in the top 3 stock categories on 25th Apr are Publishing with 2.28%, Systems Software (3) with 1.29% and Paper Products (3) with 0.89%; at the bottom are Industrial Machinery (6) with -2.51%, Application Software (4) with -2.35% and Food / Beverage & Tobacco - Packaged Foods & Meats (3) with -1.95%.
In the last week, the best performers were: Publishing with 3.95%, Systems Software (3) with 2.83% and Paper Products (3) with 2.35%; the worst: Construction Machinery & Heavy Trucks with -6.87%, Industrial Machinery (6) with -3.03% and Application Software (4) with -2.77%.
Over the past month, the best performers were: Application Software (4) with 554.16%, Construction & Engineering with 22.78% and Publishing with 2.76%; the worst: Regional Banks (2) with -9.41%, Industrial Machinery (6) with -3.13% and Construction Machinery & Heavy Trucks with -1.98%.
For the past year, the best performers were: Application Software (4) with 276.73%, Industrial Machinery (6) with 21.08% and Construction Machinery & Heavy Trucks with 17.55%; the worst: Construction & Engineering with -44.72%, Food / Beverage & Tobacco - Packaged Foods & Meats (3) with -12.63% and Regional Banks (2) with -5.68%.
New highs and lows
One-year high (3) : Wartsila Oyj Abp, Stora Enso Oyj R and Basware Oyj
All-time low : Finnair Oyj
One-year low (3) : Verkkokauppa.com Oyj, TietoEVRY Corp and Neste Oil Oyj
Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 25th Apr are Publishing with 2.28%, Systems Software (3) with 1.29% and Paper Products (3) with 0.89%; at the bottom are Industrial Machinery (6) with -2.51%, Application Software (4) with -2.35% and Food / Beverage & Tobacco - Packaged Foods & Meats (3) with -1.95%.
In the last week, the best performers were: Publishing with 3.95%, Systems Software (3) with 2.83% and Paper Products (3) with 2.35%; the worst: Construction Machinery & Heavy Trucks with -6.87%, Industrial Machinery (6) with -3.03% and Application Software (4) with -2.77%.
Over the past month, the best performers were: Application Software (4) with 554.16%, Construction & Engineering with 22.78% and Publishing with 2.76%; the worst: Regional Banks (2) with -9.41%, Industrial Machinery (6) with -3.13% and Construction Machinery & Heavy Trucks with -1.98%.
For the past year, the best performers were: Application Software (4) with 276.73%, Industrial Machinery (6) with 21.08% and Construction Machinery & Heavy Trucks with 17.55%; the worst: Construction & Engineering with -44.72%, Food / Beverage & Tobacco - Packaged Foods & Meats (3) with -12.63% and Regional Banks (2) with -5.68%.
New highs and lows
All-time low : Finnair Oyj
One-year low (3) : Verkkokauppa.com Oyj, TietoEVRY Corp and Neste Oil Oyj
Belgium: The 47 stocks analysed are 44.68% long and ended the trading day with a weighted daily change of -0.85% and a weekly change of 0.25%.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 19.15% of the total and a change of 2.98%, followed by the "Growth" group accounting for 21.28% and a change of -0.05% and the "Lack" group accounting for 59.57% and a change of -0.9%.
The change in the top 3 stock categories on 25th Apr are Biotechnology (3) with 11.32%, Pharmaceuticals (2) with 2.52% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 1.02%; at the bottom are Diversified Chemicals (2) with -2.94%, Diversified Banks (2) with -2.7% and Real Estate Operating Companies (2) with -2.25%.
In the last week, the best performers were: Biotechnology (3) with 21.35%, Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 3.14% and Pharmaceuticals (2) with 1.84%; the worst: Real Estate Operating Companies (2) with -2.9%, Diversified Chemicals (2) with -1.81% and Health Care Equipment with -1.41%.
Over the past month, the best performers were: Diversified Chemicals (2) with 7.99%, Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 6.12% and Biotechnology (3) with 3.29%; the worst: Real Estate Operating Companies (2) with -7.33%, Residential REITs (2) with -2.09% and Industrial REITs (2) with -1.98%.
For the past year, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 36.09%, Industrial REITs (2) with 13.11% and Pharmaceuticals (2) with 12%; the worst: Diversified Chemicals (2) with -51.07%, Health Care Equipment with -33.78% and Biotechnology (3) with -17.95%.
All-time high : UCB SA
One-year high (2) : KBC Groep NV and Telenet Group Holding NV
Ranking
The change in the top 3 stock categories on 25th Apr are Biotechnology (3) with 11.32%, Pharmaceuticals (2) with 2.52% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 1.02%; at the bottom are Diversified Chemicals (2) with -2.94%, Diversified Banks (2) with -2.7% and Real Estate Operating Companies (2) with -2.25%.
In the last week, the best performers were: Biotechnology (3) with 21.35%, Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 3.14% and Pharmaceuticals (2) with 1.84%; the worst: Real Estate Operating Companies (2) with -2.9%, Diversified Chemicals (2) with -1.81% and Health Care Equipment with -1.41%.
Over the past month, the best performers were: Diversified Chemicals (2) with 7.99%, Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 6.12% and Biotechnology (3) with 3.29%; the worst: Real Estate Operating Companies (2) with -7.33%, Residential REITs (2) with -2.09% and Industrial REITs (2) with -1.98%.
For the past year, the best performers were: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 36.09%, Industrial REITs (2) with 13.11% and Pharmaceuticals (2) with 12%; the worst: Diversified Chemicals (2) with -51.07%, Health Care Equipment with -33.78% and Biotechnology (3) with -17.95%.
New highs
One-year high (2) : KBC Groep 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 -0.42% and a weekly change of 0.53%.
There is one new sell (Andritz AG). With the new changes, long positions will decrease by 3.45%.
There are no changes in the AIndexes.
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 2.06%, followed by the "Lack" group accounting for 37.93% and a change of 0.73% and the "Value" group accounting for 48.28% and a change of -0.04%.
The change in the top 3 stock categories on 25th Apr are Construction & Engineering (2) with 0.73% and Electric Utilities (2) with 0.2%; at the bottom are Industrial Machinery (2) with -2.82%, Real Estate Operating Companies (3) with -1.14% and Diversified Banks (3) with -0.92%.
In the last week, the best performers were: Diversified Banks (3) with 3.82%, Electric Utilities (2) with 3.16% and Construction & Engineering (2) with 2.09%; the worst: Industrial Machinery (2) with -6.04% and Real Estate Operating Companies (3) with -2.3%.
Over the past month, the best performers were: Electric Utilities (2) with 7.04%, Construction & Engineering (2) with 5.42% and Diversified Banks (3) with 3.64%; the worst: Industrial Machinery (2) with -4.41% and Real Estate Operating Companies (3) with -3.59%.
For the past year, the best performers were: Real Estate Operating Companies (3) with 36.91%, Diversified Banks (3) with 32.81% and Electric Utilities (2) with 9.12%; the worst: Industrial Machinery (2) with -29.48%.
All-time high : Vienna Insurance Group AG
One-year high : UNIQA Insurance Group AG
Signals
There are no changes in the AIndexes.
Ranking
The change in the top 3 stock categories on 25th Apr are Construction & Engineering (2) with 0.73% and Electric Utilities (2) with 0.2%; at the bottom are Industrial Machinery (2) with -2.82%, Real Estate Operating Companies (3) with -1.14% and Diversified Banks (3) with -0.92%.
In the last week, the best performers were: Diversified Banks (3) with 3.82%, Electric Utilities (2) with 3.16% and Construction & Engineering (2) with 2.09%; the worst: Industrial Machinery (2) with -6.04% and Real Estate Operating Companies (3) with -2.3%.
Over the past month, the best performers were: Electric Utilities (2) with 7.04%, Construction & Engineering (2) with 5.42% and Diversified Banks (3) with 3.64%; the worst: Industrial Machinery (2) with -4.41% and Real Estate Operating Companies (3) with -3.59%.
For the past year, the best performers were: Real Estate Operating Companies (3) with 36.91%, Diversified Banks (3) with 32.81% and Electric Utilities (2) with 9.12%; the worst: Industrial Machinery (2) with -29.48%.
New highs
One-year high : UNIQA Insurance Group AG
Portugal: The 15 stocks analysed are 46.67% long and ended the trading day with a weighted daily change of -0.22% and a weekly change of 2.88%.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 53.33% of the total and a change of 4.66%, followed by the "Lack" group accounting for 20% and a change of 3.3% and the "Growth" group accounting for 26.67% and a change of -0.78%.
The change in the top 2 stock categories on 25th Apr are Food & Staples Retailing - Food Retail (2) with 0.67% and Paper Products (3) with -0.35%; at the bottom are Paper Products (3) with -0.35%.
In the last week, the best performers were: Paper Products (3) with 4.89% and Food & Staples Retailing - Food Retail (2) with 3.96%
Over the past month, the best performers were: Paper Products (3) with 4.45% and Food & Staples Retailing - Food Retail (2) with 3.1%
For the past year, the best performers were: Paper Products (3) with 14.45%; the worst: Food & Staples Retailing - Food Retail (2) with -13.11% and Paper Products (3) with 14.45%.
All-time high : The Navigator Company SA
One-year high : Semapa
Ranking
The change in the top 2 stock categories on 25th Apr are Food & Staples Retailing - Food Retail (2) with 0.67% and Paper Products (3) with -0.35%; at the bottom are Paper Products (3) with -0.35%.
In the last week, the best performers were: Paper Products (3) with 4.89% and Food & Staples Retailing - Food Retail (2) with 3.96%
Over the past month, the best performers were: Paper Products (3) with 4.45% and Food & Staples Retailing - Food Retail (2) with 3.1%
For the past year, the best performers were: Paper Products (3) with 14.45%; the worst: Food & Staples Retailing - Food Retail (2) with -13.11% and Paper Products (3) with 14.45%.
New highs
One-year high : Semapa
Ireland: The 11 stocks analysed are 72.73% long and ended the trading day with a weighted daily change of -0.5% and a weekly change of -0.2%.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 27.27% of the total and a change of 1.12%, followed by the "Lack" group accounting for 27.27% and a change of -0.79% and the "Value" group accounting for 45.45% and a change of -0.84%.
The change in the top 2 stock categories on 25th Apr are Diversified Banks (3) with 0.32% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with -0.18%
In the last week, the best performers were: Diversified Banks (3) with 0.65% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.02%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.02%.
Over the past month, the best performers were: Diversified Banks (3) with 10.6%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with -1.88%.
For the past year, the best performers were: Diversified Banks (3) with 25.9%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 2.63% and Diversified Banks (3) with 25.9%.
We note that Bank of Ireland Group PLC has made a new One-year high.
Ranking
The change in the top 2 stock categories on 25th Apr are Diversified Banks (3) with 0.32% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with -0.18%
In the last week, the best performers were: Diversified Banks (3) with 0.65% and Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.02%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 0.02%.
Over the past month, the best performers were: Diversified Banks (3) with 10.6%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with -1.88%.
For the past year, the best performers were: Diversified Banks (3) with 25.9%; the worst: Food / Beverage & Tobacco - Packaged Foods & Meats (2) with 2.63% and Diversified Banks (3) with 25.9%.
New highs
We note that Bank of Ireland Group PLC has made a new One-year high.
Poland: The 11 stocks analysed are 27.27% long and ended the trading day with a weighted daily change of -0.79% and a weekly change of 0.57%.
There is one new buy (Dino Polska SA). With the new changes, long positions will increase by 9.09%.
There are no changes in the AIndexes.
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 1.61%, followed by the "Value" group accounting for 54.55% and a change of 1.01% and the "Lack" group accounting for 36.36% and a change of -0.73%.
Signals
There are no changes in the AIndexes.
Ranking
Greece: The 7 stocks analysed are 100% long and ended the trading day with a weighted daily change of -0.84% and a weekly change of 2.5%.
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 3.08%, followed by the "Growth" group accounting for 42.86% and a change of 1.76%.
Ranking
The 4946 Stock analysed are 45.53% long and ended the trading day with a weighted daily change of -0.48% and a weekly change of 1.12%.
There are 25 new buys (2G Energy AG, Amedisys Inc, Amphastar P, Bodegas Riojanas S.A., China Communications Const-H, Coca-Cola European Partners PLC, Compagnie des Alpes SA, Copenhagen Airports AS, Dino Polska SA, Dunelm Group PLC, Franchise Brands PLC, Matterport Inc, Moneysupermarket.Com Group PLC, Northrop Grumman Corporation, Recursion Pharmaceuticals Inc, Royal Unibrew A/S, Sanlorenzo S.p.A, Servizi Italia S.p.A, Tecnotree Oyj, Tourmaline Oil Corp., Ucapital24, Ultralife Corporation, Unipol Gruppo S.p.A., Virtu Financial Inc and iFAST Corp Pte Ltd) and 33 new sell (Adyen NV, Andritz AG, Avis Budget Group Inc, BHG Group AB publ, Breedon Group PLC, CACI International Inc, Carrier Global Corp, Europris ASA, Gorman-Rupp Company, Graco Inc, Harley-Davidson Inc, International Paper, Investment AB Latour publ, Inwido AB, Mullen Group Ltd., New Oriental Education And Tech Inc, New Wave Group AB publ, Ninety One PLC, Nyfosa AB publ, Opendoor Technologies Inc, Phreesia Inc, Reliance Steel & Aluminum Co, Schroders PLC, Sinotruk Hong Kong Ltd, Softwareone Holding, Stericycle Inc, Tamburi Investment Partners, Textron Inc, Trainline Plc, Valmet Oyj, Warner Music Group, Wex Inc and cBrain A/S). With the new changes, long positions will decrease by 0.16%.
Stocks ranked by performance class had the best weekly returns with the "Growth" group accounting for 20.6% of the total and a change of 1.29%, followed by the "Value" group accounting for 30.11% and a change of 1.24% and the "Lack" group accounting for 49.29% and a change of 0.94%.
The change in the top 3 Stock categories on 25th Apr are Education Services (38) with 27.15%, Application Software (160) with 18.11% and Asset Management & Custody Banks (136) with 7.59%; at the bottom are Motorcycle Manufacturers (8) with -5.15%, Transportation - Marine (33) with -2.58% and Cable & Satellite (18) with -1.95%.
In the last week, the best performers were: Motorcycle Manufacturers (8) with 103.88%, Oil & Gas Exploration & Production (84) with 31.66% and Education Services (38) with 29.01%; the worst: Transportation - Road & Rail - Trucking (27) with -11.7%, Metals & Mining - Precious Metals & Minerals (9) with -2.45% and Coal & Consumable Fuels (19) with -2.45%.
Over the past month, the best performers were: Motorcycle Manufacturers (8) with 47.66%, Health Care Equipment (88) with 40.6% and Metals & Mining - Silver (18) with 30.57%; the worst: Transportation - Road & Rail - Trucking (27) with -16.82%, Real Estate Services (10) with -10.36% and Life Sciences Tools & Services (65) with -9.96%.
For the past year, the best performers were: Biotechnology (303) with 308.28%, Data Processing & Outsourced Services (31) with 71.1% and Automotive Retail (22) with 53%; the worst: Real Estate Development (74) with -49.6%, Metals & Mining - Precious Metals & Minerals (9) with -31.64% and Food & Staples Retailing - Drug Retail (6) with -31.34%.
New highs and lows
All-time high (80) : Telix Pharmaceuticals Ltd, Dollarama Inc, Odfjell SE, Bonesupport Holding AB, Seagen Inc, Laboratorios Farmaceuticos ROVI, Arcadis N.V., Caixabank SA, UCB SA, Munters Group AB, Republic Services Inc, Banca Popolare di Sondrio S.p.A., Bank of China Ltd H, Chipotle Mexican Grill Inc, Agricultural Bank Of China, Oversea-chinese Banking Corp, Procter & Gamble Company, Atlas Copco AB Series A, Bankinter, BNP Paribas SA, Alfa Laval AB, Transdigm Group Incorporated, Yum! Brands Inc, Suncor Energy Inc, ONEOK Inc, ImmunoGen Inc, CSR Ltd, Origin Energy Ltd, Shaw Communications Inc, Elevance Health Inc, Heico Corporation, ...
One-year high (138) : Philip Morris International Inc, Horizon Pharma PLC, Golden Ocean Group Ltd, SITC International Holdings Co Ltd, Deutsche Bank Aktiengesellschaft, Barclays PLC, Synchrony Financial, Bank of Ireland Group PLC, Banco de Sabadell S.A, Deutsche Post AG, CGN Power, BPER Banca SpA, Commerzbank AG, Novozymes A/S, China Hongqiao Group Ltd, Agnico Eagle Mines Limited, Koninklijke KPN NV, Splunk Inc, Banco Santander, Delta Air Lines Inc, KBC Groep NV, Southern Company, NatWest Group PLC, China Mobile Ltd, OZ Minerals Ltd, Kunlun Energy, Range Resources Corp, Public Service Enterprise Group Inc, Klepierre SA, Hera S.p.A, COSCO SHIPPING Holdings Co Ltd, ...
All-time low (68) : Roto-Gro International Limited, Stavely Minerals Ltd, Softec, Coro Energy PLC, Pluristem, Monrif S.p.A, Unique Fabricating Inc, IBO Technology, Ecofibre Ltd, Great Panther Mining Ltd, Oxford Biodynamics PLC, Shenzhen Overseas Chinese Town Co Ltd, Blackstone Resources AG, Thunderful Group AB, Unity Biotechnology Inc, Vpower Group International Holdings Ltd, Ronshine China Holdings Ltd, Brightcove Inc, Cue Biopharma, Gequity SpA, Huijing Holdings Co Ltd, Dexin China Holdings, ePRICE S.p.A., Zhongliang Holdings Group Co Ltd, KI Group, Joy Spreader Interactive Tech Ltd, Iervolino Entertainment SpA, Dubber Corp Ltd, ATN International Inc, Microvast Holdings Inc, Fossil Group Inc, ...
One-year low (104) : Canada Silver Cobalt Works Inc, Guangzhou Shiyuan Electronic Technology Co Ltd, Envirosuite Ltd, Rectifier Technologies Ltd, GreenTree Hospitality Group Ltd, Yatra Online Inc, Shanghai Yuyuan Tourist Mart Co Ltd, Harvard Bioscience Inc, National Silicon Industry Group Co Ltd, Medical Developments International, Guangdong Kinlong Hardware Products Co Ltd, Perfect Holding SA, Honbridge Holdings Ltd, Matica Fintec S.p.A, Neometals Ltd, Brioschi Sviluppo Immobiliare S.p.A, TherapeuticsMD Inc, Guangzhou Kingmed Diagnostics Group Co Ltd, Boston Omaha Corporation, San Juan Basin Royalty Trust, Aevis Victoria SA, Verkkokauppa.com Oyj, Neenah Paper Inc, G5 Entertainment publ AB, Marathon Gold Corporation, Pliant Therapeutics Inc, Victoria PLC, Greatland Gold plc, Landi Renzo, Kopin Corporation, W&T Offshore Inc, ...
Signals
Ranking
The change in the top 3 Stock categories on 25th Apr are Education Services (38) with 27.15%, Application Software (160) with 18.11% and Asset Management & Custody Banks (136) with 7.59%; at the bottom are Motorcycle Manufacturers (8) with -5.15%, Transportation - Marine (33) with -2.58% and Cable & Satellite (18) with -1.95%.
In the last week, the best performers were: Motorcycle Manufacturers (8) with 103.88%, Oil & Gas Exploration & Production (84) with 31.66% and Education Services (38) with 29.01%; the worst: Transportation - Road & Rail - Trucking (27) with -11.7%, Metals & Mining - Precious Metals & Minerals (9) with -2.45% and Coal & Consumable Fuels (19) with -2.45%.
Over the past month, the best performers were: Motorcycle Manufacturers (8) with 47.66%, Health Care Equipment (88) with 40.6% and Metals & Mining - Silver (18) with 30.57%; the worst: Transportation - Road & Rail - Trucking (27) with -16.82%, Real Estate Services (10) with -10.36% and Life Sciences Tools & Services (65) with -9.96%.
For the past year, the best performers were: Biotechnology (303) with 308.28%, Data Processing & Outsourced Services (31) with 71.1% and Automotive Retail (22) with 53%; the worst: Real Estate Development (74) with -49.6%, Metals & Mining - Precious Metals & Minerals (9) with -31.64% and Food & Staples Retailing - Drug Retail (6) with -31.34%.
New highs and lows
One-year high (138) : Philip Morris International Inc, Horizon Pharma PLC, Golden Ocean Group Ltd, SITC International Holdings Co Ltd, Deutsche Bank Aktiengesellschaft, Barclays PLC, Synchrony Financial, Bank of Ireland Group PLC, Banco de Sabadell S.A, Deutsche Post AG, CGN Power, BPER Banca SpA, Commerzbank AG, Novozymes A/S, China Hongqiao Group Ltd, Agnico Eagle Mines Limited, Koninklijke KPN NV, Splunk Inc, Banco Santander, Delta Air Lines Inc, KBC Groep NV, Southern Company, NatWest Group PLC, China Mobile Ltd, OZ Minerals Ltd, Kunlun Energy, Range Resources Corp, Public Service Enterprise Group Inc, Klepierre SA, Hera S.p.A, COSCO SHIPPING Holdings Co Ltd, ...
All-time low (68) : Roto-Gro International Limited, Stavely Minerals Ltd, Softec, Coro Energy PLC, Pluristem, Monrif S.p.A, Unique Fabricating Inc, IBO Technology, Ecofibre Ltd, Great Panther Mining Ltd, Oxford Biodynamics PLC, Shenzhen Overseas Chinese Town Co Ltd, Blackstone Resources AG, Thunderful Group AB, Unity Biotechnology Inc, Vpower Group International Holdings Ltd, Ronshine China Holdings Ltd, Brightcove Inc, Cue Biopharma, Gequity SpA, Huijing Holdings Co Ltd, Dexin China Holdings, ePRICE S.p.A., Zhongliang Holdings Group Co Ltd, KI Group, Joy Spreader Interactive Tech Ltd, Iervolino Entertainment SpA, Dubber Corp Ltd, ATN International Inc, Microvast Holdings Inc, Fossil Group Inc, ...
One-year low (104) : Canada Silver Cobalt Works Inc, Guangzhou Shiyuan Electronic Technology Co Ltd, Envirosuite Ltd, Rectifier Technologies Ltd, GreenTree Hospitality Group Ltd, Yatra Online Inc, Shanghai Yuyuan Tourist Mart Co Ltd, Harvard Bioscience Inc, National Silicon Industry Group Co Ltd, Medical Developments International, Guangdong Kinlong Hardware Products Co Ltd, Perfect Holding SA, Honbridge Holdings Ltd, Matica Fintec S.p.A, Neometals Ltd, Brioschi Sviluppo Immobiliare S.p.A, TherapeuticsMD Inc, Guangzhou Kingmed Diagnostics Group Co Ltd, Boston Omaha Corporation, San Juan Basin Royalty Trust, Aevis Victoria SA, Verkkokauppa.com Oyj, Neenah Paper Inc, G5 Entertainment publ AB, Marathon Gold Corporation, Pliant Therapeutics Inc, Victoria PLC, Greatland Gold plc, Landi Renzo, Kopin Corporation, W&T Offshore Inc, ...
The 2114 Etf analysed are 73.75% long and ended the trading day with a weighted daily change of -0.61% and a weekly change of 0.06%.
There are 2 new buys (Xtrackers II Eurozone Government Bond Short Daily Swap and iShares S&P 500 Financials Sector) and 3 new sell (Multi Units Luxembourg - Lyxor EuroMTS 7-10Y Investment Grade DR UCITS ETF, SPDR MSCI World Communication Services and iShares Global Inflation Linked Govt Bond Hedged). With the new changes, long positions will decrease by 0.05%.
Etfs ranked by performance class had the best weekly returns with the "Value" group accounting for 45.98% of the total and a change of 0.29%, followed by the "Lack" group accounting for 24.08% and a change of 0% and the "Growth" group accounting for 29.94% and a change of -0.2%.
The change in the top 3 Etf categories on 25th Apr are Specialty VIX (2) with 1.44%, Equity Hong Kong (2) with 1.01% and Equity Sector Materials (38) with 0.79%; at the bottom are Equity Russia with -3.64%, Equity Sector Communications (15) with -2.63% and Equity Thematic Biotechnology (6) with -2.33%.
In the last week, the best performers were: Equity Hong Kong (2) with 5.63%, Equity Greece (3) with 5.57% and Equity Singapore (2) with 3.89%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -23.53% and Equity Eastern Europe with -16.62%.
Over the past month, the best performers were: Commodity Industrial Metals (19) with 11.77%, Equity Turkey (8) with 10.1% and Equity Pakistan (2) with 9.36%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -18.61% and Equity Thematic Biotechnology (6) with -10.04%.
For the past year, the best performers were: Fixed Income Corporate (104) with 286.3%, Commodity Agriculture (28) with 90.53% and Equity Pakistan (2) with 69.18%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -55.23% and Equity Thematic Cannabis with -40.44%.
New highs and lows
All-time high (45) : Aberdeen New India Investment Trust Plc, Amundi MSCI Nordic, Lyxor EURO STOXX Banks, Xtrackers Euro Stoxx 50, Lyxor Stoxx Europe 600 Banks, Lyxor Euro Overnight Return, iShares MSCI United Kingdom, Lyxor Ibex 35, iShares Core FTSE 100, Xtrackers II Overnight Rate Swap, Xtrackers II Overnight Rate Swap, JPM Ultra Short Income, iShares Usd Ultrashort Bond, Xtrackers II Overnight Rate Swap, iShares Core FTSE 100, iShares Usd Floating Rate Bond Hedged, MULTI UNITS LUXEMBOURG Lyxor FTSE 100, Lyxor Core Morningstar UK NT, Xtrackers II Overnight Rate Swap, Xtrackers MSCI USA Consumer Staples, Amundi Floating Rate EURO Corporate 1-3, UBS MSCI United Kingdom, iShares VII PLC iShares MSCI UK, Xtrackers FTSE 100 Income, iShares Core FTSE 100 Hedged, Vanguard FTSE 100, iShares S&P 500 Consumer Staples Sector, iShares VII PLC iShares MSCI UK, JPMorgan Multi Asset Trust PLC, Xtrackers FTSE 100 Income, Amundi Floating Rate Corporate, ...
One-year high (39) : WisdomTree Copper, WisdomTree Copper, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Amundi Govies 0 6 Months EuroMTS Investment Grade, Hsbc Ftse 100, WisdomTree Copper Daily Hedged, PIMCO Euro Short Maturity, iShares S&P 500 Consumer Staples Sector, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Invesco STOXX Europe 600 Optimised Basic Resources, SPDR S&P U.S. Utilities Select Sector, UBS (Irl) Fund Solutions plc CMCI Composite Hedged, iShares Core FTSE 100, Vanguard FTSE 100, SPDR S&P U.S. Consumer Staples Select Sector, Invesco EuroMTS Cash 3 Months, SPDR FTSE UK All Share, WisdomTree Zinc, Xtrackers S&P Global Infrastructure Swap, Xtrackers MSCI Pakistan Swap, Amundi Govt Bond EuroMTS Broad Investment Grade 3-5, UBS (Irl) Fund Solutions plc CMCI Composite, Lyxor Usd Floating Rate Note Hedged, iShares EURO STOXX Banks 30-15, Xtrackers MSCI USA Banks, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 3-5 UCITS ETF DR, ComStage Bund Future Short, iShares MSCI Turkey, UBS J.P. Morgan EM Diversified Bond 1-5, Lyxor Stoxx Europe 600 Basic Resources, Amundi Govt Bond EuroMTS Broad Investment Grade 1-3, ...
All-time low (15) : 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, Xtrackers II Japan Government Bond, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, Lyxor MSCI Russia and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (6) : WisdomTree Copper 1x Daily Short, Invesco RDX, WisdomTree Copper 1x Daily Short, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Lyxor MSCI AC Asia Pacific Ex Japan and iShares II Public Limited Company iShares Global Clean Energy
Signals
Ranking
The change in the top 3 Etf categories on 25th Apr are Specialty VIX (2) with 1.44%, Equity Hong Kong (2) with 1.01% and Equity Sector Materials (38) with 0.79%; at the bottom are Equity Russia with -3.64%, Equity Sector Communications (15) with -2.63% and Equity Thematic Biotechnology (6) with -2.33%.
In the last week, the best performers were: Equity Hong Kong (2) with 5.63%, Equity Greece (3) with 5.57% and Equity Singapore (2) with 3.89%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -23.53% and Equity Eastern Europe with -16.62%.
Over the past month, the best performers were: Commodity Industrial Metals (19) with 11.77%, Equity Turkey (8) with 10.1% and Equity Pakistan (2) with 9.36%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -18.61% and Equity Thematic Biotechnology (6) with -10.04%.
For the past year, the best performers were: Fixed Income Corporate (104) with 286.3%, Commodity Agriculture (28) with 90.53% and Equity Pakistan (2) with 69.18%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -55.23% and Equity Thematic Cannabis with -40.44%.
New highs and lows
One-year high (39) : WisdomTree Copper, WisdomTree Copper, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Amundi Govies 0 6 Months EuroMTS Investment Grade, Hsbc Ftse 100, WisdomTree Copper Daily Hedged, PIMCO Euro Short Maturity, iShares S&P 500 Consumer Staples Sector, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Invesco STOXX Europe 600 Optimised Basic Resources, SPDR S&P U.S. Utilities Select Sector, UBS (Irl) Fund Solutions plc CMCI Composite Hedged, iShares Core FTSE 100, Vanguard FTSE 100, SPDR S&P U.S. Consumer Staples Select Sector, Invesco EuroMTS Cash 3 Months, SPDR FTSE UK All Share, WisdomTree Zinc, Xtrackers S&P Global Infrastructure Swap, Xtrackers MSCI Pakistan Swap, Amundi Govt Bond EuroMTS Broad Investment Grade 3-5, UBS (Irl) Fund Solutions plc CMCI Composite, Lyxor Usd Floating Rate Note Hedged, iShares EURO STOXX Banks 30-15, Xtrackers MSCI USA Banks, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 3-5 UCITS ETF DR, ComStage Bund Future Short, iShares MSCI Turkey, UBS J.P. Morgan EM Diversified Bond 1-5, Lyxor Stoxx Europe 600 Basic Resources, Amundi Govt Bond EuroMTS Broad Investment Grade 1-3, ...
All-time low (15) : 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, Xtrackers II Japan Government Bond, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, Lyxor MSCI Russia and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (6) : WisdomTree Copper 1x Daily Short, Invesco RDX, WisdomTree Copper 1x Daily Short, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Lyxor MSCI AC Asia Pacific Ex Japan and iShares II Public Limited Company iShares Global Clean Energy
The 175 AIndex analysed are 75.43% long and ended the trading day with a weighted daily change of -0.3% and a weekly change of 0.44%.
There is one new buy (AIndex Hong Kong China Enterprises - L10). With the new changes, long positions will increase by 0.57%.
There are also changes in the AIndexes: replacements in Denmark - L40 and Italy - L40; new entries in Beverages - L10 / L20, Communications Equipment - L20, Construction & Engineering - L10 / L20 / L40, Crypto - Top - L10, Cyber Security - L10 / L20, Denmark - L10 / L20, Electrical Equipment - L20 / L40, Entertainment - L40, Etf EUR Lack - L40, Global Infrastructure - L20 / L40, Italy - L10 / L20, Italy MIB 40 - L10 / L20, Italy PIR - Small - L10 / L20, Italy PIR 30, NASDAQ 100 - L40, Rare Earth - L10, S&P 500 + Nasdaq 100 - L10, S&P 500 - L20, Semiconductors & Semiconductor Equipment - L20 / L40, Singapore - L40, Spain - L40, Specialty Retail - L10 / L40, Stock EUR + USD Mix 50, Stock EUR Growth - L05 / L10 / L40, Stock EUR Mix 25, Stock USD + Etf Mix 60, Stock USD Value - L20 / L40, Tobacco - L10 and Transportation Infrastructure - L20; exits in Australia - L20 / L40, Canada - L20 / L40, Capital Markets - L40, Commercial Services & Supplies - L10 / L20 / L40, Construction Materials - L20, Electronic Equipment Instruments & Components - L20 / L40, Etf Global Low Risk - L20, Genomic Revolution - L40, Global Conflict - L20 / L40, Insurance - L20 / L40, Life Sciences Tools & Services - L10 / L20, London - L40, Machinery - L20 / L40, Marine - L10 / L20, Road & Rail - L10 / L20, Robotics & Artificial Intelligence - L20 / L40, STOXX Europe 600 - Nordic - L10 / L20 / L40, Shipping - L10 / L20, Space Innovation - L10 / L20, Stock USD Growth - L40, Switzerland - L10, World ESG Leader - L10 / L40.
New highs and lows
All-time high : AIndex Spain - L20
One-year high (5) : AIndex Agribusiness - L10, AIndex Marine - L10, AIndex Marine - L20, AIndex Spain - L10 and AIndex Shipping - L20
One-year low (2) : AIndex Etf Global Low Risk - L20 and AIndex Life Sciences Tools & Services - L10
Signals
There are also changes in the AIndexes: replacements in Denmark - L40 and Italy - L40; new entries in Beverages - L10 / L20, Communications Equipment - L20, Construction & Engineering - L10 / L20 / L40, Crypto - Top - L10, Cyber Security - L10 / L20, Denmark - L10 / L20, Electrical Equipment - L20 / L40, Entertainment - L40, Etf EUR Lack - L40, Global Infrastructure - L20 / L40, Italy - L10 / L20, Italy MIB 40 - L10 / L20, Italy PIR - Small - L10 / L20, Italy PIR 30, NASDAQ 100 - L40, Rare Earth - L10, S&P 500 + Nasdaq 100 - L10, S&P 500 - L20, Semiconductors & Semiconductor Equipment - L20 / L40, Singapore - L40, Spain - L40, Specialty Retail - L10 / L40, Stock EUR + USD Mix 50, Stock EUR Growth - L05 / L10 / L40, Stock EUR Mix 25, Stock USD + Etf Mix 60, Stock USD Value - L20 / L40, Tobacco - L10 and Transportation Infrastructure - L20; exits in Australia - L20 / L40, Canada - L20 / L40, Capital Markets - L40, Commercial Services & Supplies - L10 / L20 / L40, Construction Materials - L20, Electronic Equipment Instruments & Components - L20 / L40, Etf Global Low Risk - L20, Genomic Revolution - L40, Global Conflict - L20 / L40, Insurance - L20 / L40, Life Sciences Tools & Services - L10 / L20, London - L40, Machinery - L20 / L40, Marine - L10 / L20, Road & Rail - L10 / L20, Robotics & Artificial Intelligence - L20 / L40, STOXX Europe 600 - Nordic - L10 / L20 / L40, Shipping - L10 / L20, Space Innovation - L10 / L20, Stock USD Growth - L40, Switzerland - L10, World ESG Leader - L10 / L40.
New highs and lows
One-year high (5) : AIndex Agribusiness - L10, AIndex Marine - L10, AIndex Marine - L20, AIndex Spain - L10 and AIndex Shipping - L20
One-year low (2) : AIndex Etf Global Low Risk - L20 and AIndex Life Sciences Tools & Services - L10
Markets close on 24th Apr
Australia: The 300 stocks analysed are 49.67% long and ended the trading day with a weighted daily change of -0.32% and a weekly change of 0.31%.
There are 2 new buys (Argent Minerals Ltd and Washington H Soul Pattinson&Co Ltd) and 2 new sell (DroneShield Ltd and Kogan.com Ltd).
There are also changes in the AIndexes: exits in Australia - L20 / L40.
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 35.33% of the total and a change of 0.69%, followed by the "Lack" group accounting for 42.33% and a change of 0.38% and the "Growth" group accounting for 22.33% and a change of -0.31%.
The change in the top 3 stock categories on 24th Apr are Alternative Carriers with 1.2%, Health Care Equipment (4) with 1.06% and Diversified Support Services (3) with 0.91%; at the bottom are Internet & Direct Marketing Retail (4) with -10.69%, Consumer Finance with -4.9% and Aerospace & Defense (3) with -4.09%.
In the last week, the best performers were: Biotechnology (8) with 8.23%, Transportation - Airlines (2) with 4.52% and Internet Services & Infrastructure (2) with 4.35%; the worst: Real Estate Development with -11.64%, Internet & Direct Marketing Retail (4) with -9.27% and Aerospace & Defense (3) with -6.11%.
Over the past month, the best performers were: Biotechnology (8) with 31.63%, Metals & Mining - Gold (22) with 10.62% and Transportation - Airlines (2) with 9.33%; the worst: Consumer Finance with -23.51%, Real Estate Development with -19% and Metal & Glass Containers (2) with -15.76%.
For the past year, the best performers were: Data Processing & Outsourced Services (8) with 273.93%, Aerospace & Defense (3) with 134.35% and Internet Services & Infrastructure (2) with 126.59%; the worst: Consumer Finance with -38.44%, IT Consulting & Other Services with -34.53% and Health Care Services (3) with -33.7%.
New highs and lows
All-time high (4) : Telix Pharmaceuticals Ltd, CSR Ltd, Origin Energy Ltd and Tassal Group Ltd
One-year high (11) : OZ Minerals Ltd, Orica Ltd, Sydney Airport Limited, Crown Ltd, Fisher & Paykel Healthcare Corporation Limited, United Malt Group Ltd, Adbri Ltd, Service Stream Ltd, Western Areas Ltd, Link Administration Hldg Ltd and Codan Ltd
All-time low (5) : Roto-Gro International Limited, Stavely Minerals Ltd, Ecofibre Ltd, Dubber Corp Ltd and Star Entertainment Group Ltd
One-year low (9) : Envirosuite Ltd, Rectifier Technologies Ltd, Medical Developments International, Neometals Ltd, Core Lithium Ltd, Zip Co Limited, Lifestyle Communities Ltd, Afterpay Limited and Strike Energy Ltd
Signals
There are also changes in the AIndexes: exits in Australia - L20 / L40.
Ranking
The change in the top 3 stock categories on 24th Apr are Alternative Carriers with 1.2%, Health Care Equipment (4) with 1.06% and Diversified Support Services (3) with 0.91%; at the bottom are Internet & Direct Marketing Retail (4) with -10.69%, Consumer Finance with -4.9% and Aerospace & Defense (3) with -4.09%.
In the last week, the best performers were: Biotechnology (8) with 8.23%, Transportation - Airlines (2) with 4.52% and Internet Services & Infrastructure (2) with 4.35%; the worst: Real Estate Development with -11.64%, Internet & Direct Marketing Retail (4) with -9.27% and Aerospace & Defense (3) with -6.11%.
Over the past month, the best performers were: Biotechnology (8) with 31.63%, Metals & Mining - Gold (22) with 10.62% and Transportation - Airlines (2) with 9.33%; the worst: Consumer Finance with -23.51%, Real Estate Development with -19% and Metal & Glass Containers (2) with -15.76%.
For the past year, the best performers were: Data Processing & Outsourced Services (8) with 273.93%, Aerospace & Defense (3) with 134.35% and Internet Services & Infrastructure (2) with 126.59%; the worst: Consumer Finance with -38.44%, IT Consulting & Other Services with -34.53% and Health Care Services (3) with -33.7%.
New highs and lows
One-year high (11) : OZ Minerals Ltd, Orica Ltd, Sydney Airport Limited, Crown Ltd, Fisher & Paykel Healthcare Corporation Limited, United Malt Group Ltd, Adbri Ltd, Service Stream Ltd, Western Areas Ltd, Link Administration Hldg Ltd and Codan Ltd
All-time low (5) : Roto-Gro International Limited, Stavely Minerals Ltd, Ecofibre Ltd, Dubber Corp Ltd and Star Entertainment Group Ltd
One-year low (9) : Envirosuite Ltd, Rectifier Technologies Ltd, Medical Developments International, Neometals Ltd, Core Lithium Ltd, Zip Co Limited, Lifestyle Communities Ltd, Afterpay Limited and Strike Energy Ltd
The 3226 Fund analysed are 80.29% long and ended the trading day with a weighted daily change of 0.31% and a weekly change of 0.75%.
There are 4 new buys (BNP Paribas Funds Brazil Equity Privilege, Goldman Sachs Funds II Goldman Sachs Tactical Tilt Overlay, Templeton Global Bond Fund IaccUSD and Wellington Opportunistic Emerging Market Debt II) and one new sell (Amundi Funds Equity MENA). With the new changes, long positions will increase by 0.09%.
Funds ranked by performance class had the best weekly returns with the "Value" group accounting for 50.37% of the total and a change of 0.77%, followed by the "Growth" group accounting for 22.23% and a change of 0.77% and the "Lack" group accounting for 27.4% and a change of 0.72%.
The change in the top 3 Fund categories on 24th Apr are Equity Hong Kong (2) with 2.44%, Equity Taiwan (4) with 2.42% and Equity Thematic Cyber Security (3) with 1.85%; at the bottom are Equity Emerging Europe (19) with -9.97%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.7%.
In the last week, the best performers were: Equity Hong Kong (2) with 4.88%, Equity Spain (13) with 3.64% and Equity China (79) with 3.52%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.06% and Equity Eastern Europe (7) with -21.34%.
Over the past month, the best performers were: Equity Turkey (4) with 17.6%, Equity Sector Precious Metals (19) with 10.15% and Commodity Precious Metals (2) with 9.88%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.79% and Equity Eastern Europe (7) with -22.4%.
For the past year, the best performers were: Equity Turkey (4) with 48.42%, Equity India (40) with 34.13% and Equity Sector Technology (59) with 29.42%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -23.31% and Equity Emerging Europe (19) with -16.65%.
New highs and lows
All-time high (211) : HSBC Global Investment Funds Turkey Equity, HSBC Global Investment Funds - Turkey Equity IC, Jupiter Merian Global Equity Absolute Return, BlueBay Funds BlueBay Investment Grade Absolute Return Bond, Helium Helium Selection, BNP Paribas Funds Turkey EquityIR, Jupiter Merian Global Equity Absolute Return Fund L EUR Hedged Acc, Janus Henderson United Kingdom Absolute Return, Prescient Global Funds PLC Osmosis MoRE World Resource Efficiency, Jupiter India Select, LuxTopic Aktien Europa, Barings European Loan Tranche, Nordea 1 Indian Equity, Jupiter Merian Global Equity Absolute Return, Janus Henderson Horizon Pan European Absolute Return, Invesco Funds Invesco Pan European High Income, Morgan Stanley Investment Funds - European High Yield Bond Fund Z, Morgan Stanley Investment Funds European High Yield Bond, Invesco Funds - Invesco Pan European High Income Fund Z EUR Accumulation, Janus Henderson Horizon Pan European Absolute Return, BGF India, Candriam Bonds Credit Opportunities, CB Accent Swan Ultra Short Term Bond, Candriam Long Short Credit Classique, Aberdeen Standard Indian Equity, BlackRock Global Funds - India, DPAM Equities Conviction Research, DPAM INVEST Equities Europe Dividend, DWS Floating Rate Notes, Invesco Funds Invesco India Equity, Invesco Funds Invesco UK Equity, ...
One-year high (93) : BNP Paribas Funds Turkey Equity, BNP Paribas Funds Turkey EquityNR, JPMorgan Funds Financials Bond, MS INVF European HY, Squad Capital Squad Europe Convictions, Robeco QI European Conservative Equities, Carmignac Credit, Invesco Pan European Eq Inc, NN Income, Pictet Sovereign Short Term Money Market, Allianz Obbligazioni Breve Termin, Amundi Austria Stock, Amundi Funds Absolute Return Forex, ANIMA Liquidity, Arca Cedola Attiva 2023 VI, Arca Opportunita Globali 2023 II, AZ 1 Allocation Target 2023 Equity Options, AZ 1 Bond Target 2024, Bankinter Ahorro Activos, Bankinter Capital 1, Bankinter Capital 2, Bankinter Capital 3, BBVA Bonos CP, BBVA Fondtesoro Corto Plazo, BBVA Fusion Corto Plazo, BBVA Fusion Corto Plazo III, BBVA Fusion Corto Plazo V, BBVA Fusion Corto Plazo VI, BBVA Fusion Corto Plazo VII, CaixaBank Global Caixabank Global Iter, Candriam Money Market, ...
All-time low (24) : 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, Lemanik Global Strategy Retail, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (44) : 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, NB Obrigacoes Europa Fundo Investimento Mobiliario Aberto Obrigacoes, NN Emerging Europe Equity, 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 24th Apr are Equity Hong Kong (2) with 2.44%, Equity Taiwan (4) with 2.42% and Equity Thematic Cyber Security (3) with 1.85%; at the bottom are Equity Emerging Europe (19) with -9.97%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.7%.
In the last week, the best performers were: Equity Hong Kong (2) with 4.88%, Equity Spain (13) with 3.64% and Equity China (79) with 3.52%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.06% and Equity Eastern Europe (7) with -21.34%.
Over the past month, the best performers were: Equity Turkey (4) with 17.6%, Equity Sector Precious Metals (19) with 10.15% and Commodity Precious Metals (2) with 9.88%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.79% and Equity Eastern Europe (7) with -22.4%.
For the past year, the best performers were: Equity Turkey (4) with 48.42%, Equity India (40) with 34.13% and Equity Sector Technology (59) with 29.42%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -23.31% and Equity Emerging Europe (19) with -16.65%.
New highs and lows
One-year high (93) : BNP Paribas Funds Turkey Equity, BNP Paribas Funds Turkey EquityNR, JPMorgan Funds Financials Bond, MS INVF European HY, Squad Capital Squad Europe Convictions, Robeco QI European Conservative Equities, Carmignac Credit, Invesco Pan European Eq Inc, NN Income, Pictet Sovereign Short Term Money Market, Allianz Obbligazioni Breve Termin, Amundi Austria Stock, Amundi Funds Absolute Return Forex, ANIMA Liquidity, Arca Cedola Attiva 2023 VI, Arca Opportunita Globali 2023 II, AZ 1 Allocation Target 2023 Equity Options, AZ 1 Bond Target 2024, Bankinter Ahorro Activos, Bankinter Capital 1, Bankinter Capital 2, Bankinter Capital 3, BBVA Bonos CP, BBVA Fondtesoro Corto Plazo, BBVA Fusion Corto Plazo, BBVA Fusion Corto Plazo III, BBVA Fusion Corto Plazo V, BBVA Fusion Corto Plazo VI, BBVA Fusion Corto Plazo VII, CaixaBank Global Caixabank Global Iter, Candriam Money Market, ...
All-time low (24) : 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, Lemanik Global Strategy Retail, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (44) : 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, NB Obrigacoes Europa Fundo Investimento Mobiliario Aberto Obrigacoes, NN Emerging Europe Equity, Ostrum Souverains Euro 3-5 I, PineBridge Global Funds Emerging Europe Equity, Pramerica Total Return Difensivo, ...
The 370 Stock analysed are 47.84% long and ended the trading day with a weighted daily change of -0.33% and a weekly change of 0.45%.
There are 2 new buys (Argent Minerals Ltd and Washington H Soul Pattinson&Co Ltd) and 2 new sell (DroneShield Ltd and Kogan.com Ltd)
Stocks ranked by performance class had the best weekly returns with the "Value" group accounting for 34.59% of the total and a change of 0.77%, followed by the "Lack" group accounting for 44.86% and a change of 0.68% and the "Growth" group accounting for 20.54% and a change of -0.33%.
The change in the top 3 Stock categories on 24th Apr are Education Services (38) with 27.15%, Application Software (160) with 18.11% and Asset Management & Custody Banks (136) with 7.59%; at the bottom are Motorcycle Manufacturers (8) with -5.15%, Transportation - Marine (33) with -2.58% and Cable & Satellite (18) with -1.95%.
In the last week, the best performers were: Motorcycle Manufacturers (8) with 103.88%, Oil & Gas Exploration & Production (84) with 31.66% and Education Services (38) with 29.01%; the worst: Transportation - Road & Rail - Trucking (27) with -11.7%, Metals & Mining - Precious Metals & Minerals (9) with -2.45% and Coal & Consumable Fuels (19) with -2.45%.
Over the past month, the best performers were: Motorcycle Manufacturers (8) with 47.66%, Health Care Equipment (88) with 40.6% and Metals & Mining - Silver (18) with 30.57%; the worst: Transportation - Road & Rail - Trucking (27) with -16.82%, Real Estate Services (10) with -10.36% and Life Sciences Tools & Services (65) with -9.96%.
For the past year, the best performers were: Biotechnology (303) with 308.28%, Data Processing & Outsourced Services (31) with 71.1% and Automotive Retail (22) with 53%; the worst: Real Estate Development (74) with -49.6%, Metals & Mining - Precious Metals & Minerals (9) with -31.64% and Food & Staples Retailing - Drug Retail (6) with -31.34%.
New highs and lows
All-time high (80) : Telix Pharmaceuticals Ltd, Dollarama Inc, Odfjell SE, Bonesupport Holding AB, Seagen Inc, Laboratorios Farmaceuticos ROVI, Arcadis N.V., Caixabank SA, UCB SA, Munters Group AB, Republic Services Inc, Banca Popolare di Sondrio S.p.A., Bank of China Ltd H, Chipotle Mexican Grill Inc, Agricultural Bank Of China, Oversea-chinese Banking Corp, Procter & Gamble Company, Atlas Copco AB Series A, Bankinter, BNP Paribas SA, Alfa Laval AB, Transdigm Group Incorporated, Yum! Brands Inc, Suncor Energy Inc, ONEOK Inc, ImmunoGen Inc, CSR Ltd, Origin Energy Ltd, Shaw Communications Inc, Elevance Health Inc, Heico Corporation, ...
One-year high (138) : Philip Morris International Inc, Horizon Pharma PLC, Golden Ocean Group Ltd, SITC International Holdings Co Ltd, Deutsche Bank Aktiengesellschaft, Barclays PLC, Synchrony Financial, Bank of Ireland Group PLC, Banco de Sabadell S.A, Deutsche Post AG, CGN Power, BPER Banca SpA, Commerzbank AG, Novozymes A/S, China Hongqiao Group Ltd, Agnico Eagle Mines Limited, Koninklijke KPN NV, Splunk Inc, Banco Santander, Delta Air Lines Inc, KBC Groep NV, Southern Company, NatWest Group PLC, China Mobile Ltd, OZ Minerals Ltd, Kunlun Energy, Range Resources Corp, Public Service Enterprise Group Inc, Klepierre SA, Hera S.p.A, COSCO SHIPPING Holdings Co Ltd, ...
All-time low (68) : Roto-Gro International Limited, Stavely Minerals Ltd, Softec, Coro Energy PLC, Pluristem, Monrif S.p.A, Unique Fabricating Inc, IBO Technology, Ecofibre Ltd, Great Panther Mining Ltd, Oxford Biodynamics PLC, Shenzhen Overseas Chinese Town Co Ltd, Blackstone Resources AG, Thunderful Group AB, Unity Biotechnology Inc, Vpower Group International Holdings Ltd, Ronshine China Holdings Ltd, Brightcove Inc, Cue Biopharma, Gequity SpA, Huijing Holdings Co Ltd, Dexin China Holdings, ePRICE S.p.A., Zhongliang Holdings Group Co Ltd, KI Group, Joy Spreader Interactive Tech Ltd, Iervolino Entertainment SpA, Dubber Corp Ltd, ATN International Inc, Microvast Holdings Inc, Fossil Group Inc, ...
One-year low (104) : Canada Silver Cobalt Works Inc, Guangzhou Shiyuan Electronic Technology Co Ltd, Envirosuite Ltd, Rectifier Technologies Ltd, GreenTree Hospitality Group Ltd, Yatra Online Inc, Shanghai Yuyuan Tourist Mart Co Ltd, Harvard Bioscience Inc, National Silicon Industry Group Co Ltd, Medical Developments International, Guangdong Kinlong Hardware Products Co Ltd, Perfect Holding SA, Honbridge Holdings Ltd, Matica Fintec S.p.A, Neometals Ltd, Brioschi Sviluppo Immobiliare S.p.A, TherapeuticsMD Inc, Guangzhou Kingmed Diagnostics Group Co Ltd, Boston Omaha Corporation, San Juan Basin Royalty Trust, Aevis Victoria SA, Verkkokauppa.com Oyj, Neenah Paper Inc, G5 Entertainment publ AB, Marathon Gold Corporation, Pliant Therapeutics Inc, Victoria PLC, Greatland Gold plc, Landi Renzo, Kopin Corporation, W&T Offshore Inc, ...
Signals
Ranking
The change in the top 3 Stock categories on 24th Apr are Education Services (38) with 27.15%, Application Software (160) with 18.11% and Asset Management & Custody Banks (136) with 7.59%; at the bottom are Motorcycle Manufacturers (8) with -5.15%, Transportation - Marine (33) with -2.58% and Cable & Satellite (18) with -1.95%.
In the last week, the best performers were: Motorcycle Manufacturers (8) with 103.88%, Oil & Gas Exploration & Production (84) with 31.66% and Education Services (38) with 29.01%; the worst: Transportation - Road & Rail - Trucking (27) with -11.7%, Metals & Mining - Precious Metals & Minerals (9) with -2.45% and Coal & Consumable Fuels (19) with -2.45%.
Over the past month, the best performers were: Motorcycle Manufacturers (8) with 47.66%, Health Care Equipment (88) with 40.6% and Metals & Mining - Silver (18) with 30.57%; the worst: Transportation - Road & Rail - Trucking (27) with -16.82%, Real Estate Services (10) with -10.36% and Life Sciences Tools & Services (65) with -9.96%.
For the past year, the best performers were: Biotechnology (303) with 308.28%, Data Processing & Outsourced Services (31) with 71.1% and Automotive Retail (22) with 53%; the worst: Real Estate Development (74) with -49.6%, Metals & Mining - Precious Metals & Minerals (9) with -31.64% and Food & Staples Retailing - Drug Retail (6) with -31.34%.
New highs and lows
One-year high (138) : Philip Morris International Inc, Horizon Pharma PLC, Golden Ocean Group Ltd, SITC International Holdings Co Ltd, Deutsche Bank Aktiengesellschaft, Barclays PLC, Synchrony Financial, Bank of Ireland Group PLC, Banco de Sabadell S.A, Deutsche Post AG, CGN Power, BPER Banca SpA, Commerzbank AG, Novozymes A/S, China Hongqiao Group Ltd, Agnico Eagle Mines Limited, Koninklijke KPN NV, Splunk Inc, Banco Santander, Delta Air Lines Inc, KBC Groep NV, Southern Company, NatWest Group PLC, China Mobile Ltd, OZ Minerals Ltd, Kunlun Energy, Range Resources Corp, Public Service Enterprise Group Inc, Klepierre SA, Hera S.p.A, COSCO SHIPPING Holdings Co Ltd, ...
All-time low (68) : Roto-Gro International Limited, Stavely Minerals Ltd, Softec, Coro Energy PLC, Pluristem, Monrif S.p.A, Unique Fabricating Inc, IBO Technology, Ecofibre Ltd, Great Panther Mining Ltd, Oxford Biodynamics PLC, Shenzhen Overseas Chinese Town Co Ltd, Blackstone Resources AG, Thunderful Group AB, Unity Biotechnology Inc, Vpower Group International Holdings Ltd, Ronshine China Holdings Ltd, Brightcove Inc, Cue Biopharma, Gequity SpA, Huijing Holdings Co Ltd, Dexin China Holdings, ePRICE S.p.A., Zhongliang Holdings Group Co Ltd, KI Group, Joy Spreader Interactive Tech Ltd, Iervolino Entertainment SpA, Dubber Corp Ltd, ATN International Inc, Microvast Holdings Inc, Fossil Group Inc, ...
One-year low (104) : Canada Silver Cobalt Works Inc, Guangzhou Shiyuan Electronic Technology Co Ltd, Envirosuite Ltd, Rectifier Technologies Ltd, GreenTree Hospitality Group Ltd, Yatra Online Inc, Shanghai Yuyuan Tourist Mart Co Ltd, Harvard Bioscience Inc, National Silicon Industry Group Co Ltd, Medical Developments International, Guangdong Kinlong Hardware Products Co Ltd, Perfect Holding SA, Honbridge Holdings Ltd, Matica Fintec S.p.A, Neometals Ltd, Brioschi Sviluppo Immobiliare S.p.A, TherapeuticsMD Inc, Guangzhou Kingmed Diagnostics Group Co Ltd, Boston Omaha Corporation, San Juan Basin Royalty Trust, Aevis Victoria SA, Verkkokauppa.com Oyj, Neenah Paper Inc, G5 Entertainment publ AB, Marathon Gold Corporation, Pliant Therapeutics Inc, Victoria PLC, Greatland Gold plc, Landi Renzo, Kopin Corporation, W&T Offshore Inc, ...
The 215 AIndex analysed are 68.37% long and ended the trading day with a weighted daily change of -0.08% and a weekly change of 0.96%.
There are 2 new buys (AIndex Pet Health - L10 and AIndex S&P 500 - L10). With the new changes, long positions will increase by 0.93%.
There are also changes in the AIndexes: replacements in Denmark - L40 and Italy - L40; new entries in Beverages - L10 / L20, Communications Equipment - L20, Construction & Engineering - L10 / L20 / L40, Crypto - Top - L10, Cyber Security - L10 / L20, Denmark - L10 / L20, Electrical Equipment - L20 / L40, Entertainment - L40, Etf EUR Lack - L40, Global Infrastructure - L20 / L40, Italy - L10 / L20, Italy MIB 40 - L10 / L20, Italy PIR - Small - L10 / L20, Italy PIR 30, NASDAQ 100 - L40, Rare Earth - L10, S&P 500 + Nasdaq 100 - L10, S&P 500 - L20, Semiconductors & Semiconductor Equipment - L20 / L40, Singapore - L40, Spain - L40, Specialty Retail - L10 / L40, Stock EUR + USD Mix 50, Stock EUR Growth - L05 / L10 / L40, Stock EUR Mix 25, Stock USD + Etf Mix 60, Stock USD Value - L20 / L40, Tobacco - L10 and Transportation Infrastructure - L20; exits in Australia - L20 / L40, Canada - L20 / L40, Capital Markets - L40, Commercial Services & Supplies - L10 / L20 / L40, Construction Materials - L20, Electronic Equipment Instruments & Components - L20 / L40, Etf Global Low Risk - L20, Genomic Revolution - L40, Global Conflict - L20 / L40, Insurance - L20 / L40, Life Sciences Tools & Services - L10 / L20, London - L40, Machinery - L20 / L40, Marine - L10 / L20, Road & Rail - L10 / L20, Robotics & Artificial Intelligence - L20 / L40, STOXX Europe 600 - Nordic - L10 / L20 / L40, Shipping - L10 / L20, Space Innovation - L10 / L20, Stock USD Growth - L40, Switzerland - L10, World ESG Leader - L10 / L40.
New highs and lows
All-time high : AIndex Spain - L20
One-year high (5) : AIndex Agribusiness - L10, AIndex Marine - L10, AIndex Marine - L20, AIndex Spain - L10 and AIndex Shipping - L20
One-year low (2) : AIndex Etf Global Low Risk - L20 and AIndex Life Sciences Tools & Services - L10
Signals
There are also changes in the AIndexes: replacements in Denmark - L40 and Italy - L40; new entries in Beverages - L10 / L20, Communications Equipment - L20, Construction & Engineering - L10 / L20 / L40, Crypto - Top - L10, Cyber Security - L10 / L20, Denmark - L10 / L20, Electrical Equipment - L20 / L40, Entertainment - L40, Etf EUR Lack - L40, Global Infrastructure - L20 / L40, Italy - L10 / L20, Italy MIB 40 - L10 / L20, Italy PIR - Small - L10 / L20, Italy PIR 30, NASDAQ 100 - L40, Rare Earth - L10, S&P 500 + Nasdaq 100 - L10, S&P 500 - L20, Semiconductors & Semiconductor Equipment - L20 / L40, Singapore - L40, Spain - L40, Specialty Retail - L10 / L40, Stock EUR + USD Mix 50, Stock EUR Growth - L05 / L10 / L40, Stock EUR Mix 25, Stock USD + Etf Mix 60, Stock USD Value - L20 / L40, Tobacco - L10 and Transportation Infrastructure - L20; exits in Australia - L20 / L40, Canada - L20 / L40, Capital Markets - L40, Commercial Services & Supplies - L10 / L20 / L40, Construction Materials - L20, Electronic Equipment Instruments & Components - L20 / L40, Etf Global Low Risk - L20, Genomic Revolution - L40, Global Conflict - L20 / L40, Insurance - L20 / L40, Life Sciences Tools & Services - L10 / L20, London - L40, Machinery - L20 / L40, Marine - L10 / L20, Road & Rail - L10 / L20, Robotics & Artificial Intelligence - L20 / L40, STOXX Europe 600 - Nordic - L10 / L20 / L40, Shipping - L10 / L20, Space Innovation - L10 / L20, Stock USD Growth - L40, Switzerland - L10, World ESG Leader - L10 / L40.
New highs and lows
One-year high (5) : AIndex Agribusiness - L10, AIndex Marine - L10, AIndex Marine - L20, AIndex Spain - L10 and AIndex Shipping - L20
One-year low (2) : AIndex Etf Global Low Risk - L20 and AIndex Life Sciences Tools & Services - L10
The 88 Etf analysed are 67.05% long and ended the trading day with a weighted daily change of -0.12% and a weekly change of 0.49%.
Etfs ranked by performance class had the best weekly returns with the "Value" group accounting for 43.18% of the total and a change of 1.24%, followed by the "Growth" group accounting for 21.59% and a change of 0.44% and the "Lack" group accounting for 35.23% and a change of -0.36%.
The change in the top 3 Etf categories on 24th Apr are Specialty VIX (2) with 1.44%, Equity Hong Kong (2) with 1.01% and Equity Sector Materials (38) with 0.79%; at the bottom are Equity Russia with -3.64%, Equity Sector Communications (15) with -2.63% and Equity Thematic Biotechnology (6) with -2.33%.
In the last week, the best performers were: Equity Hong Kong (2) with 5.63%, Equity Greece (3) with 5.57% and Equity Singapore (2) with 3.89%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -23.53% and Equity Eastern Europe with -16.62%.
Over the past month, the best performers were: Commodity Industrial Metals (19) with 11.77%, Equity Turkey (8) with 10.1% and Equity Pakistan (2) with 9.36%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -18.61% and Equity Thematic Biotechnology (6) with -10.04%.
For the past year, the best performers were: Fixed Income Corporate (104) with 286.3%, Commodity Agriculture (28) with 90.53% and Equity Pakistan (2) with 69.18%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -55.23% and Equity Thematic Cannabis with -40.44%.
New highs and lows
All-time high (45) : Aberdeen New India Investment Trust Plc, Amundi MSCI Nordic, Lyxor EURO STOXX Banks, Xtrackers Euro Stoxx 50, Lyxor Stoxx Europe 600 Banks, Lyxor Euro Overnight Return, iShares MSCI United Kingdom, Lyxor Ibex 35, iShares Core FTSE 100, Xtrackers II Overnight Rate Swap, Xtrackers II Overnight Rate Swap, JPM Ultra Short Income, iShares Usd Ultrashort Bond, Xtrackers II Overnight Rate Swap, iShares Core FTSE 100, iShares Usd Floating Rate Bond Hedged, MULTI UNITS LUXEMBOURG Lyxor FTSE 100, Lyxor Core Morningstar UK NT, Xtrackers II Overnight Rate Swap, Xtrackers MSCI USA Consumer Staples, Amundi Floating Rate EURO Corporate 1-3, UBS MSCI United Kingdom, iShares VII PLC iShares MSCI UK, Xtrackers FTSE 100 Income, iShares Core FTSE 100 Hedged, Vanguard FTSE 100, iShares S&P 500 Consumer Staples Sector, iShares VII PLC iShares MSCI UK, JPMorgan Multi Asset Trust PLC, Xtrackers FTSE 100 Income, Amundi Floating Rate Corporate, ...
One-year high (39) : WisdomTree Copper, WisdomTree Copper, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Amundi Govies 0 6 Months EuroMTS Investment Grade, Hsbc Ftse 100, WisdomTree Copper Daily Hedged, PIMCO Euro Short Maturity, iShares S&P 500 Consumer Staples Sector, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Invesco STOXX Europe 600 Optimised Basic Resources, SPDR S&P U.S. Utilities Select Sector, UBS (Irl) Fund Solutions plc CMCI Composite Hedged, iShares Core FTSE 100, Vanguard FTSE 100, SPDR S&P U.S. Consumer Staples Select Sector, Invesco EuroMTS Cash 3 Months, SPDR FTSE UK All Share, WisdomTree Zinc, Xtrackers S&P Global Infrastructure Swap, Xtrackers MSCI Pakistan Swap, Amundi Govt Bond EuroMTS Broad Investment Grade 3-5, UBS (Irl) Fund Solutions plc CMCI Composite, Lyxor Usd Floating Rate Note Hedged, iShares EURO STOXX Banks 30-15, Xtrackers MSCI USA Banks, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 3-5 UCITS ETF DR, ComStage Bund Future Short, iShares MSCI Turkey, UBS J.P. Morgan EM Diversified Bond 1-5, Lyxor Stoxx Europe 600 Basic Resources, Amundi Govt Bond EuroMTS Broad Investment Grade 1-3, ...
All-time low (15) : 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, Xtrackers II Japan Government Bond, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, Lyxor MSCI Russia and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (6) : WisdomTree Copper 1x Daily Short, Invesco RDX, WisdomTree Copper 1x Daily Short, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Lyxor MSCI AC Asia Pacific Ex Japan and iShares II Public Limited Company iShares Global Clean Energy
Ranking
The change in the top 3 Etf categories on 24th Apr are Specialty VIX (2) with 1.44%, Equity Hong Kong (2) with 1.01% and Equity Sector Materials (38) with 0.79%; at the bottom are Equity Russia with -3.64%, Equity Sector Communications (15) with -2.63% and Equity Thematic Biotechnology (6) with -2.33%.
In the last week, the best performers were: Equity Hong Kong (2) with 5.63%, Equity Greece (3) with 5.57% and Equity Singapore (2) with 3.89%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -23.53% and Equity Eastern Europe with -16.62%.
Over the past month, the best performers were: Commodity Industrial Metals (19) with 11.77%, Equity Turkey (8) with 10.1% and Equity Pakistan (2) with 9.36%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -18.61% and Equity Thematic Biotechnology (6) with -10.04%.
For the past year, the best performers were: Fixed Income Corporate (104) with 286.3%, Commodity Agriculture (28) with 90.53% and Equity Pakistan (2) with 69.18%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -55.23% and Equity Thematic Cannabis with -40.44%.
New highs and lows
One-year high (39) : WisdomTree Copper, WisdomTree Copper, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Amundi Govies 0 6 Months EuroMTS Investment Grade, Hsbc Ftse 100, WisdomTree Copper Daily Hedged, PIMCO Euro Short Maturity, iShares S&P 500 Consumer Staples Sector, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Invesco STOXX Europe 600 Optimised Basic Resources, SPDR S&P U.S. Utilities Select Sector, UBS (Irl) Fund Solutions plc CMCI Composite Hedged, iShares Core FTSE 100, Vanguard FTSE 100, SPDR S&P U.S. Consumer Staples Select Sector, Invesco EuroMTS Cash 3 Months, SPDR FTSE UK All Share, WisdomTree Zinc, Xtrackers S&P Global Infrastructure Swap, Xtrackers MSCI Pakistan Swap, Amundi Govt Bond EuroMTS Broad Investment Grade 3-5, UBS (Irl) Fund Solutions plc CMCI Composite, Lyxor Usd Floating Rate Note Hedged, iShares EURO STOXX Banks 30-15, Xtrackers MSCI USA Banks, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 3-5 UCITS ETF DR, ComStage Bund Future Short, iShares MSCI Turkey, UBS J.P. Morgan EM Diversified Bond 1-5, Lyxor Stoxx Europe 600 Basic Resources, Amundi Govt Bond EuroMTS Broad Investment Grade 1-3, ...
All-time low (15) : 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, Xtrackers II Japan Government Bond, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, Lyxor MSCI Russia and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (6) : WisdomTree Copper 1x Daily Short, Invesco RDX, WisdomTree Copper 1x Daily Short, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Lyxor MSCI AC Asia Pacific Ex Japan and iShares II Public Limited Company iShares Global Clean Energy
The 86 Crypto analysed are 33.72% long and ended the trading day with a weighted daily change of -3.91% and a weekly change of 3.75%.
There are 3 new buys (Basic Attention Token, Cosmos and Theta Fuel). With the new changes, long positions will increase by 3.49%.
Cryptos ranked by performance class had the best weekly returns with the "Value" group accounting for 25.58% of the total and a change of 5.55%, followed by the "Lack" group accounting for 60.47% and a change of 3.39% and the "Growth" group accounting for 13.95% and a change of 2.24%.
The change in the top 3 Crypto categories on 24th Apr are Content Creation - Not Mineable (2) with 1.75%, Centralized Exchange - Not Mineable (5) with -1.75% and Smart Contracts - Not Mineable (12) with -2.6%; at the bottom are Distributed Computing - Mineable (3) with -5.61%, Solana Ecosystem - Not Mineable (2) with -5.56% and Polkadot Ecosystem - Not Mineable (6) with -5.24%.
In the last week, the best performers were: Content Creation - Not Mineable (2) with 15.3%, Collectibles & NFTs - Not Mineable (4) with 8.2% and Generic - Not Mineable (17) with 6.08%; the worst: Distributed Computing - Mineable (3) with -0.65%, DAO - Not Mineable (7) with 0.92% and Store of Value - Mineable (2) with 1.49%.
Over the past month, the best performers were: Content Creation - Not Mineable (2) with 1.18%, Centralized Exchange - Not Mineable (5) with -5.5% and Smart Contracts - Not Mineable (12) with -8.36%; the worst: Distributed Computing - Mineable (3) with -27.19%, Solana Ecosystem - Not Mineable (2) with -24.96% and DAO - Not Mineable (7) with -23.24%.
For the past year, the best performers were: Solana Ecosystem - Not Mineable (2) with 269.15%, Collectibles & NFTs - Not Mineable (4) with 112.23% and Generic (4) with 111.02%; the worst: Privacy - Mineable (4) with -15.96%, Distributed Computing - Not Mineable with 40.12% and Distributed Computing - Mineable (3) with 43.92%.
We note that Hedera Hashgraph has made a new One-year high.
Signals
Ranking
The change in the top 3 Crypto categories on 24th Apr are Content Creation - Not Mineable (2) with 1.75%, Centralized Exchange - Not Mineable (5) with -1.75% and Smart Contracts - Not Mineable (12) with -2.6%; at the bottom are Distributed Computing - Mineable (3) with -5.61%, Solana Ecosystem - Not Mineable (2) with -5.56% and Polkadot Ecosystem - Not Mineable (6) with -5.24%.
In the last week, the best performers were: Content Creation - Not Mineable (2) with 15.3%, Collectibles & NFTs - Not Mineable (4) with 8.2% and Generic - Not Mineable (17) with 6.08%; the worst: Distributed Computing - Mineable (3) with -0.65%, DAO - Not Mineable (7) with 0.92% and Store of Value - Mineable (2) with 1.49%.
Over the past month, the best performers were: Content Creation - Not Mineable (2) with 1.18%, Centralized Exchange - Not Mineable (5) with -5.5% and Smart Contracts - Not Mineable (12) with -8.36%; the worst: Distributed Computing - Mineable (3) with -27.19%, Solana Ecosystem - Not Mineable (2) with -24.96% and DAO - Not Mineable (7) with -23.24%.
For the past year, the best performers were: Solana Ecosystem - Not Mineable (2) with 269.15%, Collectibles & NFTs - Not Mineable (4) with 112.23% and Generic (4) with 111.02%; the worst: Privacy - Mineable (4) with -15.96%, Distributed Computing - Not Mineable with 40.12% and Distributed Computing - Mineable (3) with 43.92%.
New highs
We note that Hedera Hashgraph has made a new One-year high.
Markets close on 23rd Apr
The 2310 Fund analysed are 83.9% long and ended the trading day with a weighted daily change of 0.46% and a weekly change of 0.41%.
There is one new sell (Kairos International Pegasus). With the new changes, long positions will decrease by 0.04%.
Funds ranked by performance class had the best weekly returns with the "Value" group accounting for 58.27% of the total and a change of 0.49%, followed by the "Growth" group accounting for 19.05% and a change of 0.35% and the "Lack" group accounting for 22.68% and a change of 0.26%.
The change in the top 3 Fund categories on 23rd Apr are Equity Hong Kong (2) with 2.44%, Equity Taiwan (4) with 2.42% and Equity Thematic Cyber Security (3) with 1.85%; at the bottom are Equity Emerging Europe (19) with -9.97%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.7%.
In the last week, the best performers were: Equity Hong Kong (2) with 4.88%, Equity Spain (13) with 3.64% and Equity China (79) with 3.52%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.06% and Equity Eastern Europe (7) with -21.34%.
Over the past month, the best performers were: Equity Turkey (4) with 17.6%, Equity Sector Precious Metals (19) with 10.15% and Commodity Precious Metals (2) with 9.88%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.79% and Equity Eastern Europe (7) with -22.4%.
For the past year, the best performers were: Equity Turkey (4) with 48.42%, Equity India (40) with 34.13% and Equity Sector Technology (59) with 29.42%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -23.31% and Equity Emerging Europe (19) with -16.65%.
New highs and lows
All-time high (211) : HSBC Global Investment Funds Turkey Equity, HSBC Global Investment Funds - Turkey Equity IC, Jupiter Merian Global Equity Absolute Return, BlueBay Funds BlueBay Investment Grade Absolute Return Bond, Helium Helium Selection, BNP Paribas Funds Turkey EquityIR, Jupiter Merian Global Equity Absolute Return Fund L EUR Hedged Acc, Janus Henderson United Kingdom Absolute Return, Prescient Global Funds PLC Osmosis MoRE World Resource Efficiency, Jupiter India Select, LuxTopic Aktien Europa, Barings European Loan Tranche, Nordea 1 Indian Equity, Jupiter Merian Global Equity Absolute Return, Janus Henderson Horizon Pan European Absolute Return, Invesco Funds Invesco Pan European High Income, Morgan Stanley Investment Funds - European High Yield Bond Fund Z, Morgan Stanley Investment Funds European High Yield Bond, Invesco Funds - Invesco Pan European High Income Fund Z EUR Accumulation, Janus Henderson Horizon Pan European Absolute Return, BGF India, Candriam Bonds Credit Opportunities, CB Accent Swan Ultra Short Term Bond, Candriam Long Short Credit Classique, Aberdeen Standard Indian Equity, BlackRock Global Funds - India, DPAM Equities Conviction Research, DPAM INVEST Equities Europe Dividend, DWS Floating Rate Notes, Invesco Funds Invesco India Equity, Invesco Funds Invesco UK Equity, ...
One-year high (93) : BNP Paribas Funds Turkey Equity, BNP Paribas Funds Turkey EquityNR, JPMorgan Funds Financials Bond, MS INVF European HY, Squad Capital Squad Europe Convictions, Robeco QI European Conservative Equities, Carmignac Credit, Invesco Pan European Eq Inc, NN Income, Pictet Sovereign Short Term Money Market, Allianz Obbligazioni Breve Termin, Amundi Austria Stock, Amundi Funds Absolute Return Forex, ANIMA Liquidity, Arca Cedola Attiva 2023 VI, Arca Opportunita Globali 2023 II, AZ 1 Allocation Target 2023 Equity Options, AZ 1 Bond Target 2024, Bankinter Ahorro Activos, Bankinter Capital 1, Bankinter Capital 2, Bankinter Capital 3, BBVA Bonos CP, BBVA Fondtesoro Corto Plazo, BBVA Fusion Corto Plazo, BBVA Fusion Corto Plazo III, BBVA Fusion Corto Plazo V, BBVA Fusion Corto Plazo VI, BBVA Fusion Corto Plazo VII, CaixaBank Global Caixabank Global Iter, Candriam Money Market, ...
All-time low (24) : 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, Lemanik Global Strategy Retail, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (44) : 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, NB Obrigacoes Europa Fundo Investimento Mobiliario Aberto Obrigacoes, NN Emerging Europe Equity, 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 23rd Apr are Equity Hong Kong (2) with 2.44%, Equity Taiwan (4) with 2.42% and Equity Thematic Cyber Security (3) with 1.85%; at the bottom are Equity Emerging Europe (19) with -9.97%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.7%.
In the last week, the best performers were: Equity Hong Kong (2) with 4.88%, Equity Spain (13) with 3.64% and Equity China (79) with 3.52%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.06% and Equity Eastern Europe (7) with -21.34%.
Over the past month, the best performers were: Equity Turkey (4) with 17.6%, Equity Sector Precious Metals (19) with 10.15% and Commodity Precious Metals (2) with 9.88%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.79% and Equity Eastern Europe (7) with -22.4%.
For the past year, the best performers were: Equity Turkey (4) with 48.42%, Equity India (40) with 34.13% and Equity Sector Technology (59) with 29.42%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -23.31% and Equity Emerging Europe (19) with -16.65%.
New highs and lows
One-year high (93) : BNP Paribas Funds Turkey Equity, BNP Paribas Funds Turkey EquityNR, JPMorgan Funds Financials Bond, MS INVF European HY, Squad Capital Squad Europe Convictions, Robeco QI European Conservative Equities, Carmignac Credit, Invesco Pan European Eq Inc, NN Income, Pictet Sovereign Short Term Money Market, Allianz Obbligazioni Breve Termin, Amundi Austria Stock, Amundi Funds Absolute Return Forex, ANIMA Liquidity, Arca Cedola Attiva 2023 VI, Arca Opportunita Globali 2023 II, AZ 1 Allocation Target 2023 Equity Options, AZ 1 Bond Target 2024, Bankinter Ahorro Activos, Bankinter Capital 1, Bankinter Capital 2, Bankinter Capital 3, BBVA Bonos CP, BBVA Fondtesoro Corto Plazo, BBVA Fusion Corto Plazo, BBVA Fusion Corto Plazo III, BBVA Fusion Corto Plazo V, BBVA Fusion Corto Plazo VI, BBVA Fusion Corto Plazo VII, CaixaBank Global Caixabank Global Iter, Candriam Money Market, ...
All-time low (24) : 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, Lemanik Global Strategy Retail, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (44) : 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, NB Obrigacoes Europa Fundo Investimento Mobiliario Aberto Obrigacoes, NN Emerging Europe Equity, Ostrum Souverains Euro 3-5 I, PineBridge Global Funds Emerging Europe Equity, Pramerica Total Return Difensivo, ...
The 52 Etf analysed are 82.69% long and ended the trading day with a weighted daily change of 0.68% and a weekly change of 0.13%.
Etfs ranked by performance class had the best weekly returns with the "Value" group accounting for 38.46% of the total and a change of 0.53%, followed by the "Lack" group accounting for 23.08% and a change of -0.05% and the "Growth" group accounting for 38.46% and a change of -0.14%.
The change in the top 3 Etf categories on 23rd Apr are Specialty VIX (2) with 1.44%, Equity Hong Kong (2) with 1.01% and Equity Sector Materials (38) with 0.79%; at the bottom are Equity Russia with -3.64%, Equity Sector Communications (15) with -2.63% and Equity Thematic Biotechnology (6) with -2.33%.
In the last week, the best performers were: Equity Hong Kong (2) with 5.63%, Equity Greece (3) with 5.57% and Equity Singapore (2) with 3.89%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -23.53% and Equity Eastern Europe with -16.62%.
Over the past month, the best performers were: Commodity Industrial Metals (19) with 11.77%, Equity Turkey (8) with 10.1% and Equity Pakistan (2) with 9.36%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -18.61% and Equity Thematic Biotechnology (6) with -10.04%.
For the past year, the best performers were: Fixed Income Corporate (104) with 286.3%, Commodity Agriculture (28) with 90.53% and Equity Pakistan (2) with 69.18%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -55.23% and Equity Thematic Cannabis with -40.44%.
New highs and lows
All-time high (45) : Aberdeen New India Investment Trust Plc, Amundi MSCI Nordic, Lyxor EURO STOXX Banks, Xtrackers Euro Stoxx 50, Lyxor Stoxx Europe 600 Banks, Lyxor Euro Overnight Return, iShares MSCI United Kingdom, Lyxor Ibex 35, iShares Core FTSE 100, Xtrackers II Overnight Rate Swap, Xtrackers II Overnight Rate Swap, JPM Ultra Short Income, iShares Usd Ultrashort Bond, Xtrackers II Overnight Rate Swap, iShares Core FTSE 100, iShares Usd Floating Rate Bond Hedged, MULTI UNITS LUXEMBOURG Lyxor FTSE 100, Lyxor Core Morningstar UK NT, Xtrackers II Overnight Rate Swap, Xtrackers MSCI USA Consumer Staples, Amundi Floating Rate EURO Corporate 1-3, UBS MSCI United Kingdom, iShares VII PLC iShares MSCI UK, Xtrackers FTSE 100 Income, iShares Core FTSE 100 Hedged, Vanguard FTSE 100, iShares S&P 500 Consumer Staples Sector, iShares VII PLC iShares MSCI UK, JPMorgan Multi Asset Trust PLC, Xtrackers FTSE 100 Income, Amundi Floating Rate Corporate, ...
One-year high (39) : WisdomTree Copper, WisdomTree Copper, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Amundi Govies 0 6 Months EuroMTS Investment Grade, Hsbc Ftse 100, WisdomTree Copper Daily Hedged, PIMCO Euro Short Maturity, iShares S&P 500 Consumer Staples Sector, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Invesco STOXX Europe 600 Optimised Basic Resources, SPDR S&P U.S. Utilities Select Sector, UBS (Irl) Fund Solutions plc CMCI Composite Hedged, iShares Core FTSE 100, Vanguard FTSE 100, SPDR S&P U.S. Consumer Staples Select Sector, Invesco EuroMTS Cash 3 Months, SPDR FTSE UK All Share, WisdomTree Zinc, Xtrackers S&P Global Infrastructure Swap, Xtrackers MSCI Pakistan Swap, Amundi Govt Bond EuroMTS Broad Investment Grade 3-5, UBS (Irl) Fund Solutions plc CMCI Composite, Lyxor Usd Floating Rate Note Hedged, iShares EURO STOXX Banks 30-15, Xtrackers MSCI USA Banks, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 3-5 UCITS ETF DR, ComStage Bund Future Short, iShares MSCI Turkey, UBS J.P. Morgan EM Diversified Bond 1-5, Lyxor Stoxx Europe 600 Basic Resources, Amundi Govt Bond EuroMTS Broad Investment Grade 1-3, ...
All-time low (15) : 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, Xtrackers II Japan Government Bond, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, Lyxor MSCI Russia and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (6) : WisdomTree Copper 1x Daily Short, Invesco RDX, WisdomTree Copper 1x Daily Short, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Lyxor MSCI AC Asia Pacific Ex Japan and iShares II Public Limited Company iShares Global Clean Energy
Ranking
The change in the top 3 Etf categories on 23rd Apr are Specialty VIX (2) with 1.44%, Equity Hong Kong (2) with 1.01% and Equity Sector Materials (38) with 0.79%; at the bottom are Equity Russia with -3.64%, Equity Sector Communications (15) with -2.63% and Equity Thematic Biotechnology (6) with -2.33%.
In the last week, the best performers were: Equity Hong Kong (2) with 5.63%, Equity Greece (3) with 5.57% and Equity Singapore (2) with 3.89%; the worst: Equity Russia with -51.14%, Equity Emerging Europe (4) with -23.53% and Equity Eastern Europe with -16.62%.
Over the past month, the best performers were: Commodity Industrial Metals (19) with 11.77%, Equity Turkey (8) with 10.1% and Equity Pakistan (2) with 9.36%; the worst: Equity Russia with -73.89%, Equity Eastern Europe with -18.61% and Equity Thematic Biotechnology (6) with -10.04%.
For the past year, the best performers were: Fixed Income Corporate (104) with 286.3%, Commodity Agriculture (28) with 90.53% and Equity Pakistan (2) with 69.18%; the worst: Equity Russia with -77.41%, Specialty VIX (2) with -55.23% and Equity Thematic Cannabis with -40.44%.
New highs and lows
One-year high (39) : WisdomTree Copper, WisdomTree Copper, MULTI UNITS LUXEMBOURG Lyxor Euro Floating Rate Note, Amundi Govies 0 6 Months EuroMTS Investment Grade, Hsbc Ftse 100, WisdomTree Copper Daily Hedged, PIMCO Euro Short Maturity, iShares S&P 500 Consumer Staples Sector, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 1-3 UCITS ETF DR, Invesco STOXX Europe 600 Optimised Basic Resources, SPDR S&P U.S. Utilities Select Sector, UBS (Irl) Fund Solutions plc CMCI Composite Hedged, iShares Core FTSE 100, Vanguard FTSE 100, SPDR S&P U.S. Consumer Staples Select Sector, Invesco EuroMTS Cash 3 Months, SPDR FTSE UK All Share, WisdomTree Zinc, Xtrackers S&P Global Infrastructure Swap, Xtrackers MSCI Pakistan Swap, Amundi Govt Bond EuroMTS Broad Investment Grade 3-5, UBS (Irl) Fund Solutions plc CMCI Composite, Lyxor Usd Floating Rate Note Hedged, iShares EURO STOXX Banks 30-15, Xtrackers MSCI USA Banks, Amundi ETF Govt Bond EuroMTS Broad Investment Grade 3-5 UCITS ETF DR, ComStage Bund Future Short, iShares MSCI Turkey, UBS J.P. Morgan EM Diversified Bond 1-5, Lyxor Stoxx Europe 600 Basic Resources, Amundi Govt Bond EuroMTS Broad Investment Grade 1-3, ...
All-time low (15) : 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, Xtrackers II Japan Government Bond, Xtrackers MSCI Russia Capped Swap, iShares VII PLC iShares MSCI Russia ADR/GDR, HSBC MSCI Russia Capped, Lyxor MSCI Russia and iShares VII PLC iShares MSCI Russia ADR/GDR
One-year low (6) : WisdomTree Copper 1x Daily Short, Invesco RDX, WisdomTree Copper 1x Daily Short, Multi Units Luxembourg - Lyxor Euro Government Bond 1-3Y (DR) UCITS ETF, Lyxor MSCI AC Asia Pacific Ex Japan and iShares II Public Limited Company iShares Global Clean Energy
Markets close on 22nd Apr
The 90 Fund analysed are 93.33% long and ended the trading day with a weighted daily change of 0.39% and a weekly change of -0.84%.
Funds ranked by performance class had the best weekly returns with the "Lack" group accounting for 14.44% of the total and a change of -0.62%, followed by the "Value" group accounting for 74.44% and a change of -0.69% and the "Growth" group accounting for 11.11% and a change of -2.16%.
The change in the top 3 Fund categories on 22nd Apr are Equity Hong Kong (2) with 2.44%, Equity Taiwan (4) with 2.42% and Equity Thematic Cyber Security (3) with 1.85%; at the bottom are Equity Emerging Europe (19) with -9.97%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.7%.
In the last week, the best performers were: Equity Hong Kong (2) with 4.88%, Equity Spain (13) with 3.64% and Equity China (79) with 3.52%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.06% and Equity Eastern Europe (7) with -21.34%.
Over the past month, the best performers were: Equity Turkey (4) with 17.6%, Equity Sector Precious Metals (19) with 10.15% and Commodity Precious Metals (2) with 9.88%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.79% and Equity Eastern Europe (7) with -22.4%.
For the past year, the best performers were: Equity Turkey (4) with 48.42%, Equity India (40) with 34.13% and Equity Sector Technology (59) with 29.42%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -23.31% and Equity Emerging Europe (19) with -16.65%.
New highs and lows
All-time high (211) : HSBC Global Investment Funds Turkey Equity, HSBC Global Investment Funds - Turkey Equity IC, Jupiter Merian Global Equity Absolute Return, BlueBay Funds BlueBay Investment Grade Absolute Return Bond, Helium Helium Selection, BNP Paribas Funds Turkey EquityIR, Jupiter Merian Global Equity Absolute Return Fund L EUR Hedged Acc, Janus Henderson United Kingdom Absolute Return, Prescient Global Funds PLC Osmosis MoRE World Resource Efficiency, Jupiter India Select, LuxTopic Aktien Europa, Barings European Loan Tranche, Nordea 1 Indian Equity, Jupiter Merian Global Equity Absolute Return, Janus Henderson Horizon Pan European Absolute Return, Invesco Funds Invesco Pan European High Income, Morgan Stanley Investment Funds - European High Yield Bond Fund Z, Morgan Stanley Investment Funds European High Yield Bond, Invesco Funds - Invesco Pan European High Income Fund Z EUR Accumulation, Janus Henderson Horizon Pan European Absolute Return, BGF India, Candriam Bonds Credit Opportunities, CB Accent Swan Ultra Short Term Bond, Candriam Long Short Credit Classique, Aberdeen Standard Indian Equity, BlackRock Global Funds - India, DPAM Equities Conviction Research, DPAM INVEST Equities Europe Dividend, DWS Floating Rate Notes, Invesco Funds Invesco India Equity, Invesco Funds Invesco UK Equity, ...
One-year high (93) : BNP Paribas Funds Turkey Equity, BNP Paribas Funds Turkey EquityNR, JPMorgan Funds Financials Bond, MS INVF European HY, Squad Capital Squad Europe Convictions, Robeco QI European Conservative Equities, Carmignac Credit, Invesco Pan European Eq Inc, NN Income, Pictet Sovereign Short Term Money Market, Allianz Obbligazioni Breve Termin, Amundi Austria Stock, Amundi Funds Absolute Return Forex, ANIMA Liquidity, Arca Cedola Attiva 2023 VI, Arca Opportunita Globali 2023 II, AZ 1 Allocation Target 2023 Equity Options, AZ 1 Bond Target 2024, Bankinter Ahorro Activos, Bankinter Capital 1, Bankinter Capital 2, Bankinter Capital 3, BBVA Bonos CP, BBVA Fondtesoro Corto Plazo, BBVA Fusion Corto Plazo, BBVA Fusion Corto Plazo III, BBVA Fusion Corto Plazo V, BBVA Fusion Corto Plazo VI, BBVA Fusion Corto Plazo VII, CaixaBank Global Caixabank Global Iter, Candriam Money Market, ...
All-time low (24) : 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, Lemanik Global Strategy Retail, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (44) : 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, NB Obrigacoes Europa Fundo Investimento Mobiliario Aberto Obrigacoes, NN Emerging Europe Equity, 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 22nd Apr are Equity Hong Kong (2) with 2.44%, Equity Taiwan (4) with 2.42% and Equity Thematic Cyber Security (3) with 1.85%; at the bottom are Equity Emerging Europe (19) with -9.97%, Equity Russia with -3.49% and Equity Eastern Europe (7) with -2.7%.
In the last week, the best performers were: Equity Hong Kong (2) with 4.88%, Equity Spain (13) with 3.64% and Equity China (79) with 3.52%; the worst: Equity Russia with -37.32%, Equity Emerging Europe (19) with -25.06% and Equity Eastern Europe (7) with -21.34%.
Over the past month, the best performers were: Equity Turkey (4) with 17.6%, Equity Sector Precious Metals (19) with 10.15% and Commodity Precious Metals (2) with 9.88%; the worst: Equity Russia with -31.15%, Equity Emerging Europe (19) with -27.79% and Equity Eastern Europe (7) with -22.4%.
For the past year, the best performers were: Equity Turkey (4) with 48.42%, Equity India (40) with 34.13% and Equity Sector Technology (59) with 29.42%; the worst: Equity Russia with -32.18%, Equity China - A Shares (6) with -23.31% and Equity Emerging Europe (19) with -16.65%.
New highs and lows
One-year high (93) : BNP Paribas Funds Turkey Equity, BNP Paribas Funds Turkey EquityNR, JPMorgan Funds Financials Bond, MS INVF European HY, Squad Capital Squad Europe Convictions, Robeco QI European Conservative Equities, Carmignac Credit, Invesco Pan European Eq Inc, NN Income, Pictet Sovereign Short Term Money Market, Allianz Obbligazioni Breve Termin, Amundi Austria Stock, Amundi Funds Absolute Return Forex, ANIMA Liquidity, Arca Cedola Attiva 2023 VI, Arca Opportunita Globali 2023 II, AZ 1 Allocation Target 2023 Equity Options, AZ 1 Bond Target 2024, Bankinter Ahorro Activos, Bankinter Capital 1, Bankinter Capital 2, Bankinter Capital 3, BBVA Bonos CP, BBVA Fondtesoro Corto Plazo, BBVA Fusion Corto Plazo, BBVA Fusion Corto Plazo III, BBVA Fusion Corto Plazo V, BBVA Fusion Corto Plazo VI, BBVA Fusion Corto Plazo VII, CaixaBank Global Caixabank Global Iter, Candriam Money Market, ...
All-time low (24) : 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, Lemanik Global Strategy Retail, LUX IM JP Morgan Diversified Risk, Mundelrent, Silk African and Frontier Markets in liquidation, UBS Select Money Market Premier and UniEM Osteuropa
One-year low (44) : 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, NB Obrigacoes Europa Fundo Investimento Mobiliario Aberto Obrigacoes, NN Emerging Europe Equity, Ostrum Souverains Euro 3-5 I, PineBridge Global Funds Emerging Europe Equity, Pramerica Total Return Difensivo, ...