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cGroup: Technology

     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 Friday's Closing data.

NameSymbolRSfRtn-1dRtn-5dRtn-1moRtn-3moRtn-6moRtn-1yr$vol-21
popupPowerShares XTF: Dynamic OTC PortfolioPWO78.03-0.60-0.995.9312.4126.8024.2237k
popupiShares PHLX SOX Semiconductor FundSOXX77.09-0.03-1.805.2011.0327.8926.1717m
popupGuggenheim S&P Equal Weight Technology ETFRYT76.15-0.18-1.796.5410.6625.5127.283m
popupFirst Trust NASDAQ CEA Smartphone Idx FONE74.930.28-1.914.2910.7221.6625.68182k
popupSPDR S&P Semiconductor ETFXSD72.91-0.28-1.848.1310.9229.2522.795m
popupMarket Vectors Gulf States ETFMES71.690.00-0.332.469.7119.3922.87121k
popupMarket Vectors SemiconductorSMH71.25-0.03-2.193.5810.3025.7923.5865m
popupRP Growth ETFRPX69.240.000.007.2110.3923.0319.788k
popupFirst Trust Nasdaq Tech Dividend FundTDIV67.22-0.49-0.935.1710.6822.12n/a2m
popupSPDR S&P Software & Services ETFXSW66.28-0.25-1.764.697.7621.0324.5473k
popupFidelity Nasdaq Composite Index TrackingONEQ64.55-0.18-1.235.1410.1219.0522.93889k
popupFirst Trust Technology AlphaDEX FundFXL58.93-0.32-2.194.108.2220.9318.722m
popupPowerShares QQQQQQ57.71-0.05-1.205.1910.9615.7419.112b
popupPowerShares Dynamic TechnologyPTF56.41-0.17-1.593.546.7720.3418.91284k
popupiShares S&P Technology Index FundIGM56.12-0.29-1.805.638.4217.1218.273m
popupFirst Tr NASDAQ-100 TechQTEC55.62-0.34-2.133.107.2019.3217.69933k
popupSPDR Morgan Stanley Technology Index FundMTK54.90-0.91-2.054.766.9917.4218.26329k
popupiShares S&P Global Technology Index FundIXN52.38-0.21-1.745.337.6712.7815.444m
popupSelect Sector SPDR Fund - TechnologyXLK52.23-0.16-1.585.468.7112.7314.97281m
popupProShares RAFI Long/Short RALS51.73-0.050.951.493.9110.3217.36638k
popupVanguard Information TechnologyVGT51.51-0.20-1.536.128.0413.2513.6817m
popupIshares S&P Software Index FundIGV51.08-0.73-3.362.704.8815.4513.615m
popupPowerShares Dyn SemiconductorPSI50.58-0.06-0.754.425.7418.4011.1541k
popupRBS NASDAQ 100 Trendpilot ETNTNDQ50.43-0.20-0.924.9010.449.637.75186k
popupPowerShares Dynamic SoftwarePSJ50.00-0.20-3.121.023.6512.8815.55245k
popupAdvisorShares QAM Equity HedgeQEH48.990.00-0.292.074.278.84n/a37k
popupiShares Dow Jones U.S. Technology Index FundIYW47.19-0.26-1.396.347.4911.119.3917m
popupETRACS ISE Solid State Drive ETNSSDD42.510.00-0.293.257.0023.53-0.331k
popupCredit Suisse Merger Arbi Liquid Idx ETN CSMA37.820.001.430.491.636.202.2972k
popupiPath Pure Beta Aluminum ETNFOIL13.540.000.00-1.52-7.06-6.14-12.464k
popupiPath Pure Beta Nickel ETNNINI11.100.00-1.09-1.80-10.66-6.93-18.54113k
popupRBS Oil Trendpilot ETNTWTI9.875.753.152.95-8.39-8.98-18.15175k
32 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 Friday's Closing data.

Symbol 05/2405/1705/1005/0304/2604/1904/1204/0503/2803/2103/1403/0702/28
PWO 78.074.477.974.266.666.865.359.962.863.956.457.051.8
SOXX 77.172.277.368.470.658.364.354.066.755.267.670.665.2
RYT 76.276.273.272.661.557.165.255.664.259.163.269.360.9
FONE 74.973.272.874.067.359.057.548.555.853.253.754.953.8
XSD 72.967.368.056.855.338.056.438.557.346.552.748.848.5
MES 71.777.082.087.284.476.865.983.863.275.463.952.166.6
SMH 71.368.179.873.374.559.757.247.461.751.761.463.560.4
RPX 69.261.468.060.557.565.952.558.260.964.256.559.662.7
TDIV 67.273.770.079.073.364.267.164.367.762.165.059.856.6
XSW 66.368.465.266.663.357.863.365.363.467.262.476.267.2
ONEQ 64.663.960.559.256.452.654.050.455.651.852.149.347.1
FXL 58.959.056.454.555.546.956.551.760.452.756.358.051.3
QQQ 57.757.755.554.951.644.349.138.847.941.544.642.838.6
PTF 56.456.156.854.855.149.057.855.364.863.361.966.157.1
IGM 56.157.653.753.949.140.551.243.452.348.051.050.346.8
QTEC 55.655.354.453.952.945.054.347.255.748.752.955.450.3
MTK 54.956.553.153.050.044.553.847.755.453.256.660.352.8
IXN 52.452.551.350.544.430.841.330.043.437.643.743.138.3
XLK 52.252.049.749.544.232.542.831.742.936.941.339.235.0
RALS 51.747.348.752.154.958.962.868.158.065.751.348.449.7
VGT 51.550.948.347.939.926.740.228.443.035.741.740.534.4
IGV 51.156.253.053.652.849.353.950.158.455.763.668.052.9
PSI 50.647.647.041.042.029.048.931.353.642.048.145.844.5
TNDQ 50.448.947.846.338.928.135.325.122.423.127.125.320.4
PSJ 50.053.854.356.555.651.055.755.766.264.266.064.353.6
QEH 49.045.147.947.148.545.851.844.950.753.449.947.848.1
IYW 47.247.743.741.629.621.527.421.831.524.334.233.124.8
SSDD 42.531.529.919.519.216.315.613.936.131.038.418.615.7
CSMA 37.833.034.737.439.143.042.545.742.443.836.033.729.9
FOIL 13.512.812.213.8n/a14.211.310.39.49.510.412.618.0
NINI 11.19.78.38.610.012.29.810.012.417.114.718.415.6
TWTI 9.98.27.06.87.37.58.88.59.07.48.89.29.2

This page is the result of this screen plus the filters set above.

Symbols can be added or removed by changing the list below. Symbols should be separated by a space character. A maximum of 100 symbols can be included. If more than 100 are included then the list will be truncated. Click the Update button to refresh the page.

Any symbols marked with * are not shown in the data tables because they are either filtered out
by the above settings, not valid symbols, or are low volume ETF's not updated intra-day.

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