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Modern Family (IT) Symbol IT-Signal ChgD Confirmed Roles: (leading indicators that act as a guide for the stock market macro picture)
State Street SPDR S&P500 SPY Bullish 303 Not Yet - major U.S. index fund of 500 Giant(47%), Large(35%) & Medium(18%) companies
iShares:Russ Top 200 IWL Bullish 303 Not Yet - gauge the health of 200 Giant(54%), Large(40%) & Medium(6%) companies within the U.S.
iShares:Russ Mid-Cap IWR Bullish 302 Yes - gauge the health of 800 Large(4%), Medium(74%) & Small(22%) companies within the U.S.
iShares:Russ 2000 ETF IWM Bullish 296 Yes - gauge the health of 2000 Medium(2%), Small(48%) & Micro(50%) companies within the U.S.
iShares:US Transportatn IYT Bullish 296 Yes - measure Industry & Manufacture strength - supply and demand
SS SPDR S&P Retail XRT Bullish 93 Not Yet - measure strength of economy and consumer confidence
SS SPDR S&P Reg Banking KRE Bullish 94 Not Yet - measure the health of financial system in the U.S.
iShares:Biotechnology IBB Bullish 221 Yes - highly speculated: assesses where money is flowing
VanEck:Semiconductor SMH Bullish 302 Yes - innovation: a major player technology trends
As of (LastD) = 6-Mar-2026 More Details: Posted end of month by mapg on the Mechanical Investing board (shrewdm.com)
Market Trends (IT & LT) TPPO(24w) LAST PPO(12w) PPO(6w) PPO(3w) MAC(10m) LAST MAC DBE(5m) LAST SinceD CountIF Risk
Intermediate & Long Terms IT-Signal (ChgD) 60:120 30:120 15:120 LT-Signal (ChgD) (TPw,210) Signal (ChgD) Hi(99MD) (Bullish) Gauges
SP600 (IJR) Daily (10Yr) Bullish 298 2.92% 4.65% 5.17% Bullish 206 9.55% Bullish 226 16 3 Risk_On
SP400 (MDY) Daily (10Yr) Bullish 100 2.60% 4.33% 5.02% Bullish 252 8.47% Bullish 226 9 3 Risk_On
SP500EW (RSP) Daily (10Yr) Bullish 302 2.16% 3.59% 4.26% Bullish 297 7.29% Bullish 248 4 3 Risk_On
SP1500 (ITOT) Daily (10Yr) Bullish 304 1.63% 1.97% 1.86% Bullish 298 4.93% Bullish 1129 26 3 Risk_On
SP500 (SPY) Daily (10Yr) Bullish 304 1.61% 1.91% 1.79% Bullish 298 4.84% Bullish 1128 26 3 Risk_On
As of (LastD) = 6-Mar-2026 --- --- --- --- 6-Mar-2026 --- --- 6-Mar-2026 --- --- --- 6-Mar-2026
CountIF (Bullish) = 5 5 5 15 Risk_On
My Rankings (WWL) 6-Mar-2026 1 2 3 4 5 6 7 8 9 10 Buy HTD Sell
1- MAA : Long-Term (BRKB) 1-LRRS : ROC() & TPPO() FSPSX FFNOX FSMAX FXAIX FXNAX BRK/B - - - - -- BRKB --
2- MAA : Multi-Asset ETF's 2-LRRS : ROC() & TPPO() RLY AOA IYLD AOR AOM AOK - - - - 2 1 3
3- QAA : Market ETF's 3-LRRS : ROC() & TPPO() EEM PRFZ PRF IEFA USRT CMDY XLG TLT - - 3 1 4
4- QAA : Factor ETF's 4-LRRS : ROC() & TPPO() VLUE EFAV QUAL SIZE COMT USMV MTUM LRGF - - 3 1 4
6- QAA : Equal-Wght'd ETF's 6-LRRS : ROC() & TPPO() EQAL EDOW RSP EQWL EUSA QQQE - - - - 2 1 3
5- ROE_GMI (1 thru 10 of 25) 5-LRRS : ROC() & TPPO() MU FIX SCCO LRCX VRT AMAT NEM KLAC LMT JNJ 15 3 7
5- ROE_GMI (11 thru 15) 5-LRRS : Signals Top 15 GOOGL INCY UTHR CF RL - - - - - 15 -- 0
5- ROE_GMI (16 thru 25) 5-LRRS : Signals Bottom 10 LLY FERG DGX NVDA IDXX CTAS UHS NTAP MSFT SOLV -- 3 7
6- QAA : Equal-Wght'd ETF's Momentum Equity LT-12m IT-6m IT-3m ST-1m LRRS(m) TPPO(w) PPO(12w) PPO(6w) PPO(3w) Criteria()
Wednesday, March 11, 2026 Symbol Style Box ROC252 ROC126 ROC63 ROC21 %Rank Status: 60:120 30:120 15:120 Status:
Invesco Rus 1000 EW EQAL Mid Blend 23.5% 11.5% 9.9% -0.5% 88% BUY 2.92% 5.32% 6.36% Hold
FT:Dow 30 Equal Weight EDOW Large Value 24.0% 9.7% 4.5% -3.6% 70% BUY 2.35% 3.56% 3.34% BUY
Invesco S&P500 EWght RSP Mid Blend 19.9% 9.2% 6.4% -1.8% 53% BUY 2.46% 3.98% 4.40% HTD
Invesco S&P 100 Eq Wght EQWL Large Value 23.2% 8.1% 3.3% -2.0% 42% BUY 2.03% 2.83% 2.77% SELL
iShares:MSCI USA EW EUSA Mid Blend 17.8% 5.9% 3.4% -1.6% 32% BUY 1.70% 2.42% 2.67% SELL
Direxion:NASDAQ-100 EWI QQQE Large Growth 21.0% 3.1% -0.9% 0.1% 20% SELL 0.76% 0.42% 0.29% SELL
6- QAA : Equal-Wght'd ETF's AveDev = 0.020 0.023 0.025 0.009 Wt(3,3,3,1) SELLIF (12w > 6w) AND (6w > 3w) (2,1,3)