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Modern Family(IT) Symbol Status ChgD Confirmed Roles: (leading indicators that act as a guide for the stock market macro picture)
S&P 500 ETF Trust SPY Bullish 23 Not Yet - major player U.S. index fund of 500 market cap-weighted companies
Russell 1000EW ETF EQAL Bullish 16 Not Yet - gauge the health of 1000 equal-weighted companies within the U.S.
Russell 1000 ETF IWB Bullish 23 Not Yet - gauge the health of 1000 Giant(45%), Large(32%) & Medium(20%) companies within the U.S.
Russell 2000 ETF IWM Bullish 16 Not Yet - gauge the health of 2000 Small(55%) & Micro(43%) companies within the U.S.
Transportation ETF IYT Bullish 16 Not Yet - measure Industry & Manufacture strength - supply and demand
Retail ETF XRT Bullish 22 Not Yet - measure strength of economy and consumer confidence
Regional Banks ETF KRE Bullish 22 Not Yet - measure the health of financial system in the U.S.
BioTech ETF IBB BEARish 77 Yes - highly speculated: assesses where money is flowing
SemiConductor ETF SMH Bullish 22 Not Yet - innovation: a major player technology trends
As of (LastD) = 30-May-25 More Details: Posted end of month by mapg on the Mechanical Investing board (shrewdm.com)
Market Trends TPPO(120) Status Longer Inter Shorter MAC(210) Status Status DBE(105) Status Status CountIF Risk
Intermediate & Long-Term IT-Signal (ChgD) PPO(2:1) PPO(4:1) PPO(8:1) LT-Signal (ChgD) (TPw,210) Signal (ChgD) Hi(99MD) (Bullish) Gauges
SP600 (IJR) Daily Bullish 18 -2.61% -3.24% -2.32% BEARish 91 -6.94% BEARish 32 128 1 Risk_Off
SP400 (MDY) Daily Bullish 22 -1.30% -1.18% -0.01% BEARish 84 -2.43% BEARish 32 128 1 Risk_Off
SP500EW (RSP) Daily Bullish 22 -0.42% -0.05% 1.01% Bullish 17 -0.04% BEARish 29 126 2 Risk_Off
SP1500 (ITOT) Daily Bullish 24 -0.29% 0.35% 1.91% Bullish 18 1.76% Bullish 849 69 3 Risk_On
SP500 (.SPX) Daily Bullish 24 -0.17% 0.51% 2.03% Bullish 18 2.11% Bullish 849 69 3 Risk_On
As of (LastD) = 30-May-25 --- --- --- --- 30-May-25 --- --- 30-May-25 --- --- --- 30-May-25
CountIF(Bullish) = 5 3 2 10 Risk_On
My Rankings 30-May-25 1 2 3 4 5 6 7 8 9 10 Buy HTD Sell
1- MAA: Long-Term (BRKB) 1-RS: ROC() & TMAC() BRK/B FSPSX FSMAX FXAIX FXNAX FFNOX - - - - -- BRKB --
2- MAA: Multi-Asset ETF's 2-RS: ROC() & TMAC() AOA AOR RLY AOM IYLD AOK - - - - 2 2 2
3- QAA: Market ETF's 3-RS: ROC() & TMAC() IEFA XLG PRF CMDY USRT PRFZ TLT SDS - - 3 1 4
4- QAA: Enhanced ETF's 4-RS: ROC() & TMAC() MTUM EFAV USMV LRGF SIZE VLUE QUAL COMT - - 3 1 4
6- QEW: Equal-Wght'd ETF's 6-RS: ROC() & TMAC() EQWL EDOW EUSA QQQE RSP EQAL - - - - 2 2 2
5- ROE_GMI (1 thru 10 of 25) 5-RS: ROC() & TMAC() RL EHC PPC FIX FTNT ABT FLEX META EME IDXX 15 3 7
5- ROE_GMI (11 thru 20) 5-Alloc: BuyIF Top 15 ACM RMD GWW MOH NVDA JNJ KLAC MSFT GOOGL COKE -- -- --
5- ROE_GMI (21 thru 25) 5-Alloc: SellIF Bottom 5 LLY UTHR ZTS IT GEHC - - - - - -- -- --
Quality Asset LT-12m IT-6m IT-3m ST-1m 5-RRS() TMAC IT-18w IT-9w ST-4w Criteria
Symbol Sector ROC252 ROC126 ROC63 ROC21 %Rank Status: 90-DMA 45-DMA 20-DMA Status:
EHC Health Care 31.1% 24.5% 31.9% 4.2% 84.6% BUY 104.87 110.90 118.99 BUY
RL Consumer Discretionary 58.2% 3.9% 28.0% 20.9% 83.7% BUY 243.84 236.20 267.39 BUY
PPC Consumer Staples 53.1% 23.8% 6.6% 8.1% 80.4% BUY 47.61 50.00 48.14 BUY
FTNT Information Technology 87.6% 5.0% 7.2% -2.3% 72.5% BUY 101.64 99.93 103.46 BUY
FIX Industrials 32.4% -15.6% 60.0% 12.9% 72.5% BUY 393.90 401.41 461.36 BUY
ABT Health Care 31.6% 17.9% 1.8% 0.1% 70.4% BUY 130.87 130.77 132.77 BUY
FLEX Information Technology 29.0% -9.6% 29.2% 15.4% 69.6% BUY 37.39 35.95 40.80 BUY
EME Industrials 15.6% -16.5% 30.6% 9.7% 60.0% BUY 418.04 417.36 459.71 BUY
META Communication Services 28.6% -6.5% 5.7% 9.0% 58.7% BUY 619.24 580.81 630.50 BUY
IDXX Health Care -11.1% 13.4% 30.1% 8.3% 55.4% BUY 446.75 455.37 504.70 BUY
RMD Health Care 11.1% -3.0% 14.7% 1.2% 55.4% BUY 232.57 231.87 245.95 BUY
ACM Industrials 13.4% -11.2% 19.3% 7.5% 53.7% BUY 99.94 100.03 106.93 BUY
GWW Industrials 11.5% -10.4% 14.0% 4.1% 49.6% BUY 1,025.47 1,028.44 1,073.88 BUY
NVDA Information Technology -0.6% -17.9% 20.8% 23.1% 47.0% BUY 120.25 116.54 129.27 BUY
KLAC Information Technology -14.2% 9.6% 13.9% 12.6% 46.2% BUY 715.32 704.62 758.70 BUY
JNJ Health Care 0.7% 6.3% -8.7% -0.9% 45.0% SELL 156.83 154.24 153.03 SELL
MOH Health Care -2.5% 11.6% -2.8% -6.2% 44.1% BUY 313.33 323.02 315.42 HTD
MSFT Information Technology -6.1% -4.1% 24.6% 6.6% 44.1% BUY 408.35 412.58 450.43 HTD
GOOGL Communication Services -3.2% -20.2% 0.9% 10.7% 32.9% BUY 169.21 159.49 164.86 HTD
ZTS Health Care -15.2% -10.0% -2.1% 8.2% 23.7% BUY 161.87 157.09 161.69 HTD
UTHR Health Care -3.5% -24.3% -0.9% 7.1% 22.5% BUY 319.33 300.27 308.36 SELL
COKE Consumer Staples 7.0% -22.1% -44.1% -79.0% 21.2% SELL 1,252.41 1,150.22 898.00 SELL
LLY Health Care -14.2% -3.7% -15.0% -10.2% 21.2% SELL 813.53 775.44 742.70 SELL
IT Information Technology -5.2% -22.1% -2.1% 5.8% 20.8% BUY 458.68 423.71 444.56 SELL
GEHC Industrials -10.7% -21.5% -19.8% 1.3% 14.1% BUY 77.83 68.92 71.04 SELL
AveDev = 20% 12% 16% 10% (4,3,2,1) Longer Inter Shorter Totals =