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cGroup: Industrial

     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 2018-06-18 11:34 am ET (10 min updates).

NameSymbolRSfRtn-1dRtn-5dRtn-1moRtn-3moRtn-6moRtn-1yr$vol-21
popupSPDR S&P Aerospace & Defense ETFXAR83.25-0.15-2.470.732.148.5927.317m
popupiShares Transportation AvgIYT82.78-0.050.093.194.217.7619.0433m
popupSPDR S&P Transportation XTN82.430.180.364.153.346.3424.951m
popupiShares US AerospaceITA80.86-0.14-2.780.390.137.8226.6247m
popupPowerShares Aerospace & DefensePPA76.97-0.16-2.660.23-0.586.4623.864m
popupFirst Trust Industrials/Producer Durables AlpFXR69.79-0.08-0.782.180.833.9016.224m
popupiShares US IndustrialsIYJ66.10-0.28-1.171.540.703.7913.948m
popupFidelity MSCI IndustrialsFIDU61.18-0.26-1.600.89-0.002.8011.793m
popupVanguard IndustrialsVIS59.60-0.30-1.570.94-0.232.5011.1614m
popupGuggenheim S&P Equal Weight Industrials ETFRGI58.92-0.19-1.191.01-1.152.1812.252m
popupSelect Sector SPDR Fund - IndustrialXLI55.43-0.43-1.950.28-1.171.9010.89721m
popupiShares S&P Gbl IndustrialsEXI50.51-0.60-1.88-0.66-0.431.468.822m
popupFirst Trust ISE Glb Engnrg And Const IdxFLM43.27-0.13-2.34-3.27-0.08-2.508.38186k
13 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 2018-06-18 11:34 am ET (10 min updates).

Symbol 06/1806/1106/0405/2505/1805/1105/0404/2704/2004/1304/0603/2903/22
XAR 83.388.586.689.689.088.183.092.896.394.395.491.588.0
IYT 82.881.182.289.486.484.078.384.367.043.343.658.965.7
XTN 82.480.780.889.786.682.469.770.660.548.164.666.576.9
ITA 80.987.784.888.486.986.082.893.296.995.896.794.590.7
PPA 77.084.281.684.782.181.679.792.396.594.795.993.089.1
FXR 69.872.168.076.772.063.646.543.570.650.254.767.470.9
IYJ 66.168.464.269.268.858.442.435.969.552.752.467.064.0
FIDU 61.266.460.368.767.553.833.132.665.246.547.757.658.3
VIS 59.664.157.868.165.752.232.132.762.344.546.656.656.9
RGI 58.959.054.265.363.752.032.543.569.254.656.970.367.3
XLI 55.462.855.967.564.952.933.638.270.848.851.665.761.0
EXI 50.555.952.658.457.351.337.137.455.844.447.056.750.0
FLM 43.345.548.343.556.652.848.244.941.935.222.538.741.0

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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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