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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 data as of 2018-09-18 4:01 pm ET (10 min updates).

popupPowerShares Dynamic SoftwarePSJ97.420.87-0.706.657.6220.7841.543m
popupSPDR S&P Software & Services ETFXSW97.080.78-0.125.527.7916.8939.811m
popupIshares S&P Software Index FundIGV96.070.47-0.235.845.3813.8237.2065m
popupPureFunds ISE Mobile Payments ETFIPAY95.
popupFirst Trust Technology AlphaDEX FundFXL94.920.76-0.047.357.579.1433.5912m
popupVanguard Information TechnologyVGT94.780.660.183.546.9912.4933.36116m
popupPureFunds ISE Cyber Security ETFHACK94.370.73-1.024.693.0713.8331.9712m
popupPowerShares Dyn Networking PortPXQ94.310.33-0.744.405.8512.7328.15408k
popupPowerShares DWA TechnologyPTF93.831.05-1.985.033.8610.5732.80828k
popupFirst Trust DJ Internet IndexFDN93.421.03-1.292.05-1.5511.0739.5976m
popupFirst Trust ISE Cloud Computing Index ETFSKYY93.080.68-0.012.842.0011.2435.3414m
popupiShares S&P Technology Index FundIGM93.020.85-0.172.663.599.7834.068m
popupFirst Trust NASDAQ CyberSecurity ETFCIBR92.810.35-0.914.693.7610.7229.545m
popupFidelity MSCI Information TechFTEC92.000.61-
popupSelect Sector SPDR Fund - TechnologyXLK90.510.640.041.804.269.5827.99839m
popupiShares US TechnologyIYW90.030.56-0.351.493.398.9328.6517m
popupPowerShares QQQQQQ89.690.83-0.151.663.899.2926.365b
popupPacer Trendpilot 100 ETFPTNQ89.290.91-0.141.693.899.2326.012m
popupGuggenheim S&P Equal Weight Technology ETFRYT87.250.680.483.352.156.2026.678m
popupFirst Trust Nasdaq Tech Dividend FundTDIV81.290.691.
popupJohn Hancock Multifactor Technology ETFJHMT78.980.450.111.901.194.3224.79317k
popupRecon Capital NAS 100 Covered Call ETFQYLD77.360.160.321.515.266.4316.315m
popupiShares S&P Global Technology Index FundIXN76.610.900.331.482.154.9422.1914m
popupSPDR S&P Semiconductor ETFXSD64.541.24-0.103.990.663.3817.579m
popupiShares PHLX SOX Semiconductor FundSOXX60.270.860.553.63-1.25-1.8219.37150m
popupSPDR NYSE Technology ETFXNTK56.680.880.592.00-3.60-1.1218.952m
popupFirst Tr NASDAQ-100 TechQTEC56.410.830.280.74-1.81-1.8116.8111m
popupVanEck Vectors SemiconductorSMH55.120.760.493.12-1.51-3.9016.45554m
popupPowerShares NASDAQ InternetPNQI52.471.07-0.230.52-8.46-2.6219.604m
popupPowerShares Dyn SemiconductorPSI44.270.60-0.331.75-3.37-4.4612.113m
popupGlobal X Social Media ETFSOCL10.371.421.18-0.97-14.04-14.761.251m
31 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 2018-09-18 4:01 pm ET (10 min updates).

Symbol 09/1809/1109/0408/2708/2008/1308/0607/3007/2307/1607/0906/2906/22
PSJ 97.498.297.696.896.497.997.396.598.098.196.797.096.5
IGV 96.195.995.194.993.595.694.495.
IPAY 95.293.994.593.392.293.291.893.695.395.493.994.294.6
FXL 94.994.794.292.187.890.790.086.892.392.391.290.388.9
VGT 94.894.094.492.692.693.693.794.295.194.994.394.093.2
HACK 94.494.494.694.192.593.791.691.496.296.192.594.994.7
PXQ 94.394.994.693.093.093.992.391.994.494.890.390.988.4
PTF 93.896.095.994.292.995.093.490.995.695.
FDN 93.495.295.796.595.897.497.697.598.799.098.498.098.5
IGM 93.092.993.793.193.194.994.695.596.696.995.495.795.6
CIBR 92.893.892.992.590.991.288.387.993.694.391.592.190.8
FTEC 92.091.992.591.691.393.193.193.995.595.694.994.794.1
XLK 90.590.290.489.989.190.892.092.594.294.492.992.991.8
IYW 90.090.491.090.789.391.892.793.494.994.894.293.292.6
QQQ 89.790.591.390.890.492.592.693.193.895.093.693.491.7
PTNQ 89.390.491.290.089.892.092.392.393.494.692.792.891.3
RYT 87.387.187.987.682.987.188.791.692.592.792.192.091.4
TDIV 81.376.574.869.569.970.773.176.578.976.978.373.572.3
QYLD 77.479.975.867.872.279.974.076.282.782.278.276.972.2
IXN 76.676.683.481.273.483.285.487.491.190.288.989.788.5
XSD 64.572.683.169.961.081.284.785.685.479.684.682.182.7
SOXX 60.361.271.963.856.473.387.390.286.777.785.485.384.5
XNTK 56.757.365.166.561.879.784.586.191.693.393.493.692.2
QTEC 56.458.168.470.061.574.885.086.387.787.886.485.983.3
SMH 55.155.866.360.150.768.884.687.784.975.382.882.982.0
PNQI 52.559.173.183.574.
PSI 44.353.966.759.853.173.985.885.482.874.681.977.479.7
SOCL 10.411.618.925.420.132.948.439.986.690.190.788.888.3

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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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