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cGroup: Consum Stpl

     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
popupiShares Core High Dividend Equity HDV95.000.920.052.812.349.049.9286m
popupSelect Sector SPDR Fund - Consumer StaplesXLP94.550.25-1.344.842.6714.364.891b
popupInvesco Dynamic Consumer StaplesPSL94.490.54-1.102.860.054.0516.232m
popupJohn Hancock Multifactor Consumer Staples ETFJHMS94.230.65-1.983.330.8511.6010.20190k
popupVanguard Consumer Staples VIPERsVDC94.100.29-1.444.401.9013.185.4927m
popupFidelity MSCI Consumer StaplesFSTA94.040.18-1.754.372.1313.264.7915m
popupProShares Russell 2000 Div Growers ETFSMDV93.590.560.913.46-0.476.787.992m
popupInvesco S&P 500 Low Volatility ETFSPLV92.820.710.243.550.377.627.55230m
popupInvesco S&P SmallCap Consumer Staples PortPSCC92.630.31-0.45-0.19-6.319.5914.25979k
popupSPDR Dividend ETFSDY92.240.510.193.19-0.735.969.8656m
popupCambria Core Equity ETFCCOR92.050.00-0.022.042.785.414.10165k
popupFidelity MSCI TelecommunicationsFCOM91.541.820.42-0.71-1.449.689.194m
popupInvesco S&P 400 Low Volatility ETFXMLV91.090.520.152.63-1.885.458.0015m
popupProShares S&P MidCap 400 Div AristocratsREGL90.450.440.553.05-1.694.877.892m
popupFirst Trust Value Line Dividend ETFFVD90.130.570.132.07-0.845.836.3023m
popupLegg Mason Low Vlty High Dvnd ETFLVHD90.060.60-0.082.26-0.217.354.322m
popupFirstTr Morningstar Dividend LeadersFDL90.000.68-0.701.51-0.075.006.126m
popupOppenheimer S&P Ultra Dividend ETFRDIV89.740.73-0.90-0.98-3.582.4612.4814m
popupInvesco S&P Equal Weight Consumer Staples ETFRHS89.170.35-1.222.75-1.139.825.2112m
popupSPDR Portfolio S&P500 DividendSPYD88.850.78-0.662.38-2.194.946.7818m
popupQuantX Dynamic Beta US Equity ETFXUSA87.981.55-2.30-2.83-3.444.688.76612k
popupBrand Value ETFBVAL87.950.09-1.251.73-1.615.118.8361k
popupInvesco Dyn Food & BevPBJ87.440.59-1.033.710.132.704.66257k
popupFirst Trust Consumer Staples AlphaDEX FundFXG87.310.63-0.582.65-1.156.095.175m
popupInvesco S&P 500 High Dividend PortflSPHD86.670.83-0.511.95-1.974.702.4521m
popupWisdomTree High YieldDHS85.450.48-0.590.86-2.084.093.341m
popupInvesco High Yield Equity Dividend Achievers PortfolioPEY83.330.40-1.19-0.53-3.172.925.133m
popupCompass EMP US EQ Income Enh Vlty Wghtd ETFCDC82.240.67-0.251.73-3.212.475.653m
popupVictory CEMP US Lg Cap Hi Div Vol Wgtd ETFCDL82.180.57-0.301.83-3.232.405.552m
popupGlobal X SuperDividend US ETFDIV81.220.08-1.93-1.82-3.323.173.462m
popupiShares Select DividendDVY78.720.60-0.790.39-3.551.265.7370m
popupiShares S&P Gbl Consumer StaplesKXI77.120.40-1.472.83-1.765.02-0.533m
popupFirst Trust North American Energy InfrasEMLP73.780.69-0.09-0.21-3.874.81-0.4114m
popupWBI Power Factor High Div ETFWBIY71.600.13-1.431.12-6.41-1.7812.291m
popupFirst Trust Strategic Income ETFFDIV70.900.21-0.290.27-1.961.600.33446k
popupFlexShares STOXX Gbl Infrastructure ETFNFRA70.260.590.551.68-1.741.21-0.262m
popupQUANTX Risk Managed Growth ETFQXGG69.270.07-1.02-0.72-2.770.342.60112k
popupInvesco/S&P Global DividendLVL68.140.030.352.08-2.280.941.7750k
popupFirst Trust Multi-Asset Diversified Income FundMDIV64.490.28-1.16-0.86-4.110.501.892m
popupGlobal X SuperDividend Alternatives ETFALTY63.970.06-1.31-0.26-5.121.130.7286k
popupInvesco Russell MidCap Pure ValuePXMV62.631.01-0.200.46-4.57-0.341.54282k
popupiShares US Consumer GoodsIYK61.790.11-1.212.95-2.973.63-1.799m
popupiShares Morningstar Multi-Asset Income ETFIYLD58.720.21-0.87-0.15-2.28-1.04-2.262m
popupSPDR SSgA Income Allocation ETFINKM57.630.38-0.380.28-2.63-0.95-1.06223k
popupGraniteShares HIPS US High Income ETFHIPS55.260.82-2.14-3.02-7.421.030.6821k
popupProShares DJ Brookfield Glbl Infrstructure ETFTOLZ54.231.32-1.20-0.59-4.67-0.86-1.49324k
popupFlexShares Real Assets Allocation IndexASET52.760.37-0.070.64-3.69-2.12-1.9596k
popupInvesco Dyn Retail PortfolioPMR49.94-0.97-5.34-0.58-11.48-0.499.7578k
popupLegg Mason Global Infrastructure ETFINFR48.27-0.07-2.570.45-3.77-1.07-6.06119k
popupETRACS MP 2xLev Hi Div Low Vol ETNHDLV47.881.710.743.79-7.848.95-7.70136k
popupInvesco DWA Tactical Multi-Asset Income PortfolioDWIN44.23-0.11-0.21-0.30-4.33-1.12-5.31349k
popupSPDR FTSE/Macquarie Global Infrastructure 100GII37.440.85-0.460.17-4.32-3.10-6.612m
popupiShares S&P Global Infrastructure Index FundIGF37.120.76-0.630.29-4.26-3.25-6.5212m
53 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 11/1611/0911/0210/2610/1910/1210/0509/2809/2109/1409/0708/3008/23
HDV 95.095.093.485.292.785.782.870.377.469.766.762.364.8
XLP 94.696.994.790.290.557.957.854.458.255.656.554.656.9
PSL 94.596.796.292.991.780.976.672.675.884.882.078.780.5
JHMS 94.296.493.189.191.365.759.056.059.260.968.057.363.1
VDC 94.196.594.790.790.359.958.555.859.658.058.755.859.6
FSTA 94.096.894.890.090.157.457.654.358.856.557.554.958.0
SMDV 93.693.488.469.874.865.669.766.070.075.378.665.774.1
SPLV 92.892.484.579.087.473.676.266.671.773.276.066.065.2
PSCC 92.695.497.494.195.787.078.987.690.993.895.093.195.7
SDY 92.292.488.567.682.475.678.373.982.279.778.173.474.7
CCOR 92.191.992.393.190.785.562.248.849.852.254.745.549.8
FCOM 91.592.995.583.895.888.883.778.175.774.065.060.266.5
XMLV 91.190.686.384.286.375.175.572.375.482.481.675.677.4
REGL 90.489.687.464.674.566.572.869.076.081.779.371.176.2
FVD 90.188.883.468.684.273.873.964.769.868.670.164.265.3
LVHD 90.189.982.775.687.670.267.556.159.461.263.857.959.3
FDL 90.091.187.070.687.672.274.161.964.461.358.355.759.8
RDIV 89.792.290.285.392.390.589.374.081.486.384.982.386.1
RHS 89.293.690.076.386.860.757.953.560.059.865.358.060.4
SPYD 88.890.183.870.283.467.269.960.065.167.468.065.970.4
XUSA 88.093.295.792.994.491.281.376.077.484.388.679.384.0
BVAL 88.090.483.471.174.466.269.364.065.563.261.859.966.4
PBJ 87.488.867.854.851.337.231.630.541.452.054.345.552.5
FXG 87.390.484.265.677.346.245.746.052.556.156.152.755.8
SPHD 86.785.871.965.079.059.564.755.261.160.260.057.260.3
DHS 85.484.779.365.780.165.871.061.363.360.660.560.062.3
PEY 83.385.466.361.683.565.770.760.267.069.072.263.466.7
CDC 82.280.464.753.771.964.071.560.566.069.872.365.268.3
CDL 82.280.364.753.572.459.371.860.466.570.372.065.368.8
DIV 81.287.886.279.088.674.666.658.760.162.064.456.761.0
DVY 78.781.876.963.079.969.173.862.066.868.369.063.166.1
KXI 77.183.970.161.460.336.037.643.650.548.444.248.751.5
EMLP 73.866.944.860.176.859.661.749.755.759.760.758.063.1
WBIY 71.685.183.151.158.959.464.763.074.272.674.172.984.6
FDIV 70.964.457.262.857.852.949.743.843.950.451.646.852.7
NFRA 70.357.043.143.450.942.246.845.551.046.240.446.243.8
QXGG 69.376.674.969.270.156.762.658.755.658.359.457.260.1
LVL 68.161.250.547.748.539.548.351.252.850.650.952.152.4
MDIV 64.571.868.069.672.365.059.954.954.457.858.655.260.1
ALTY 64.068.762.362.366.453.253.956.655.860.760.661.462.8
PXMV 62.668.458.450.461.339.150.553.458.957.959.360.457.8
IYK 61.873.867.453.239.827.931.637.848.940.734.141.449.3
IYLD 58.760.653.759.349.144.636.437.435.536.935.834.936.2
INKM 57.656.348.559.449.545.236.240.139.142.942.345.848.2
HIPS 55.366.957.059.972.162.570.867.367.971.270.472.379.4
TOLZ 54.256.341.752.260.046.152.543.553.052.653.653.954.9
ASET 52.845.639.241.547.234.737.341.949.547.839.849.247.1
PMR 49.990.893.264.464.473.266.182.789.690.093.793.696.2
INFR 48.358.733.840.341.330.931.723.033.137.738.140.848.3
HDLV 47.942.519.325.028.19.818.514.435.143.656.659.060.7
DWIN 44.239.639.154.736.832.823.521.723.632.737.538.643.5
GII 37.432.128.836.132.926.226.719.924.727.432.030.529.4
IGF 37.134.328.635.032.626.424.819.324.126.030.127.429.3

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