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cGroup: Unassigned

     Description (show/hide)
Funds are assigned to a Correlated Group (cGroup) based on price correlation over the past six months. This methodology will, in a few cases, result in an assignment not intuitive from the fund name. It does, however, generally reflect what funds are moving in a related pattern within the dynamic marketplace. Fund groupings are generally stable, but re-evaluated each weekend. Performance numbers are current with the site. For more information about Correlated Groups see the bottom of the Performance by Correlated Group page.


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Check desired symbols for Comparison Chart or to View Correlations.
 
Viewing data as of 2017-02-24 2:04 pm ET (10 min updates).

NameSymbolRSfRtn-1dRtn-5dRtn-1moRtn-3moRtn-6moRtn-1yr$vol-21
popupBarclays ETN+FI Enhanced Europe 50 ETN, Series BFLEU92.69-1.53-0.37-0.4517.58n/an/a686k
popupFirst Trust Nasdaq Bank ETFFTXO84.01-1.34-1.521.9511.37n/an/a634k
popupFirst Trust Nasdaq Semiconductor ETFFTXL82.01-0.66-0.970.2111.01n/an/a166k
popupGlobal X Internet of Things Thematic ETFSNSR78.15-0.530.342.9010.23n/an/a733k
popupGlobal X Robotics & Artificial Intelligence Thematic ETFBOTZ76.57-0.720.271.689.80n/an/a897k
popupSPDR Russell Sm Cap CompletenessRSCO75.81-0.49-0.031.445.4011.3733.101m
popupLegg Mason International Low Volatility High Dividend ETFLVHI73.81-0.220.931.549.25n/an/a45k
popupFidelity Quality Factor ETFFQAL69.68-0.200.683.378.28n/an/a706k
popupFirst Trust CEF Income Opportunity ETFFCEF67.82-0.240.871.908.02n/an/a120k
popupFidelity Value Factor ETFFVAL66.92-0.150.302.777.91n/an/a886k
popupFirst Trust Horizon Managed Volatility Domestic ETFHUSV65.820.231.423.117.66n/an/a293k
popupFidelity Momentum Factor ETFFDMO64.37-0.300.152.777.48n/an/a412k
popupGoldman Sachs Hedge Industry VIP ETFGVIP64.30-0.37-0.502.117.48n/an/a931k
popupFidelity Dividend ETF for Rising Rates ETFFDRR63.27-0.110.582.807.38n/an/a1m
popupProShares K-1 Free Crude Oil Strategy ETFOILK62.03-0.640.370.977.13n/an/a79k
popupSpirited Funds/ETFMG Whiskey & Spirits ETFWSKY58.24-0.740.262.186.46n/an/a43k
popupFirst Trust Horizon Managed Volatility Devpd Intl ETFHDMV57.55-0.62-0.081.566.34n/an/a120k
popupFidelity Low Volatility Factor ETFFDLO57.41-0.110.993.166.31n/an/a307k
popupRiverFront Dynamic US Dividend Advantage ETFRFDA55.41-0.280.321.556.10n/an/a288k
popupiShares Edge MSCI Min Vol USA Small-Cap ETFSMMV54.24-0.070.412.665.85n/an/a31k
popupAmerican Customer Satisfaction Core Alpha ETFACSI53.550.180.752.565.72n/an/a140k
popupElkhorn Lunt Low Vol/High Beta Tactical ETFLVHB53.34-0.75-1.45-0.915.70n/an/a2m
popupFidelity Core Dividend ETFFDVV50.10-0.130.461.645.10n/an/a590k
popupAdvisorShares Focused Equity ETFCWS49.41-0.180.232.105.00n/an/a208k
popupOShares FTSE Asia Pacific Qual Div Hdgd ETFOAPH46.520.15-0.332.036.425.09n/a105k
popupTrimTabs Float Shrink ETFTTAC42.38-0.11-0.350.863.73n/an/a100k
popupJ.P. Morgan Diversified Alternatives ETFJPHF36.39-0.130.12-0.272.47n/an/a435k
popupOShares FTSE Europe Qual Div Hdgd ETFOEUH35.49-0.451.792.057.600.41n/a296k
popupCredit Suisse Long/Short Liquid Idx ETN CSLS22.61-0.59-0.770.071.771.582.99264k
29 symbols listed

The dynamics of Relative Strength are illustraded below for the past quarter. From this you can visualize which funds are improving on a relative basis and which are deteriorating.

5-day Intervals 21-day Intervals
Viewing data as of 2017-02-24 2:04 pm ET (10 min updates).

Symbol 02/2402/1602/0902/0201/2601/1901/1101/0412/2712/1912/1212/0511/28
FLEU 92.786.6n/an/an/an/an/an/an/an/an/an/an/a
FTXO 84.085.194.794.495.996.4n/an/an/an/an/an/an/a
FTXL 82.090.389.992.089.788.588.6n/an/an/an/an/an/a
SNSR 78.277.979.077.280.969.261.750.960.1n/an/an/an/a
BOTZ 76.665.561.466.665.643.139.241.342.2n/an/an/an/a
RSCO 75.879.381.680.881.679.482.283.482.283.884.283.283.2
LVHI 73.869.860.549.756.469.963.762.373.067.759.858.2n/a
FQAL 69.766.061.860.465.261.863.062.663.964.5n/an/an/a
FCEF 67.868.365.754.752.954.7n/an/an/an/an/an/an/a
FVAL 66.964.772.973.377.077.376.979.381.482.6n/an/an/a
HUSV 65.853.046.349.654.852.254.357.854.958.253.252.154.3
FDMO 64.466.657.956.154.649.352.353.956.757.4n/an/an/a
GVIP 64.373.7n/an/an/an/an/an/an/an/an/an/an/a
FDRR 63.361.063.465.366.764.763.464.367.844.8n/an/an/a
OILK 62.072.873.263.441.028.031.555.2n/an/an/an/an/a
WSKY 58.254.4n/an/an/an/an/an/an/an/an/an/an/a
HDMV 57.550.534.534.532.628.729.016.217.515.519.317.9n/a
FDLO 57.454.352.652.657.757.458.561.562.163.8n/an/an/a
RFDA 55.451.366.465.366.467.768.567.5n/an/an/an/an/a
SMMV 54.258.069.566.267.272.174.071.970.2n/an/an/an/a
ACSI 53.553.666.2n/an/an/an/an/an/an/an/an/an/a
LVHB 53.365.486.587.090.6n/an/an/an/an/an/an/an/a
FDVV 50.152.459.464.562.763.562.768.367.568.0n/an/an/a
CWS 49.449.565.259.168.565.761.560.1n/an/an/an/an/a
OAPH 46.548.050.747.246.554.656.560.950.358.057.146.943.0
TTAC 42.457.474.476.077.776.475.075.1n/an/an/an/an/a
JPHF 36.436.535.934.639.742.841.748.958.555.5n/an/an/a
OEUH 35.530.434.334.431.338.633.529.234.242.136.214.212.2
CSLS 22.622.124.534.029.730.529.930.735.033.628.240.641.3

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