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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 3 Not Yet - major U.S. index fund of 500 Giant(47%), Large(35%) & Medium(18%) companies
iShares:Russ Top 200 IWL Bullish 2 Not Yet - gauge the health of 200 Giant(54%), Large(40%) & Medium(6%) companies within the U.S.
iShares:Russ Mid-Cap IWR Bullish 344 Yes - gauge the health of 800 Large(4%), Medium(74%) & Small(22%) companies within the U.S.
iShares:Russ 2000 ETF IWM Bullish 338 Not Yet - gauge the health of 2000 Medium(2%), Small(48%) & Micro(50%) companies within the U.S.
iShares:US Transportatn IYT Bullish 338 Not Yet - measure Industry & Manufacture strength - supply and demand
SS SPDR S&P Retail XRT BEARish 17 Yes - measure strength of economy and consumer confidence
SS SPDR S&P Reg Banking KRE Bullish 136 Not Yet - measure the health of financial system in the U.S.
iShares:Biotechnology IBB BEARish 9 Yes - highly speculated: assesses where money is flowing
VanEck:Semiconductor SMH Bullish 344 Yes - innovation: a major player technology trends
As of (LastD) = 17-Apr-26 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(99,5m) 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 8 1.79% 2.51% 3.59% Bullish 248 9.77% Bullish 268 0 3 Risk_On
SP400 (MDY) Daily (10Yr) Bullish 7 1.44% 1.90% 2.65% Bullish 294 7.47% Bullish 268 38 3 Risk_On
SP500EW (RSP) Daily (10Yr) Bullish 2 0.93% 0.92% 1.11% Bullish 339 4.43% Bullish 290 33 3 Risk_On
SP1500 (ITOT) Daily (10Yr) Bullish 3 0.50% 0.34% 1.00% Bullish 9 4.97% Bullish 1171 0 3 Risk_On
SP500 (SPY) Daily (10Yr) Bullish 3 0.47% 0.27% 0.89% Bullish 9 4.84% Bullish 1170 0 3 Risk_On
As of (LastD) = 17-Apr-26 --- EMA() EMA() EMA() 17-Apr-26 --- SMA() 17-Apr-26 --- --- --- 17-Apr-26
CountIF (Bullish) = 5 5 5 15 Risk_On
My Rankings (WWL) 17-Apr-26 1 2 3 4 5 6 7 8 9 10 Buy HTD Sell
1- MAA : Long-Term (BRKB) 1-LRRS : ROC() & TPPO() FSPSX FSMAX FFNOX FXNAX FXAIX BRK/B - - - - -- BRKB --
2- MAA : Multi-Asset ETF's 2-LRRS : ROC() & TPPO() RLY IYLD AOA AOR AOM AOK - - - - 2 1 3
3- QAA : Market ETF's 3-LRRS : ROC() & TPPO() EEM CMDY PRF IEFA USRT PRFZ TLT XLG - - 3 2 3
4- QAA : Factor ETF's 4-LRRS : ROC() & TPPO() COMT VLUE EFAV MTUM SIZE QUAL USMV LRGF - - 3 1 4
6- QAA : Equal-Wght'd ETF's 6-LRRS : ROC() & TPPO() EQAL RSP EUSA EDOW EQWL QQQE - - - - 2 1 3
5- ROE_GMI (1 thru 5 of 25) 5-LRRS : ROC() & TPPO() FIX VRT AMAT MU LRCX - - - - - 13 3 9
5- ROE_GMI (6 thru 15) 5-LRRS Status : Top 15 KLAC UTHR CF SCCO EME JNJ NEM LMT GOOGL RL 13 -- 2
5- ROE_GMI (16 thru 25) 5-LRRS Status : Bottom 10 DGX THC FERG UPS NVDA LLY INCY NTAP CTAS IDXX -- 3 7
Average NAV Market Benchmark Market Alpha R2 Beta Standard Sharpe
Return Return Index Benchmark Deviation Ratio
R3000TR SP500TR
1 Year 18.06% 17.90% 18.09% 17.80% (0.43) 98.53 1.06 10.96 1.21
3 Year 19.51% 19.48% 17.86% 18.32% 1.09 98.45 1.00 12.09 1.15
5 Year 12.54% 12.49% 10.87% 12.06% 0.43 99.10 1.00 15.37 0.62
10 Year 14.87% 14.85% 13.72% 14.16% 0.68 99.18 1.00 15.02 0.85
Life 13.91% 13.94% 13.34% 13.66% -- -- -- -- --
NAV Market Benchmark Index Market Benchmark Alpha R2 Beta Standard Sharpe
Return Return (R1000 Value TR) (SP500 TR) Deviation Ratio
1 Year 13.83% 13.73% 15.87% 17.80% -1.2 78.9 0.8 9.51 0.99
3 Year 16.06% 16.07% 14.31% 18.32% -0.6 83.9 0.9 11.71 0.93
5 Year 11.08% 11.05% 9.43% 12.06% -0.1 89.4 0.9 14.63 0.55
10 Year 13.66% 13.64% 10.58% 14.16% 0.04 92.9 1 14.93 0.78
Life 10.22% 10.25% 7.74% 10.40% -- -- -- -- --
NAV Return Market Return Benchmark Index Market Benchmark Alpha R2 Beta Standard Deviation Sharpe Ratio
NAV Return Market Return (S&P US TMI TR USD) (S&P 500 TR USD)
1 Year 18.66% 18.58% 18.14% 17.80% -0.74 94.54 1.13 11.94 1.16
10 Year 15.06% 15.06% 13.65% 14.16% 0.84 97.68 1.00 15.19 0.85
3 Year 20.65% 20.66% 17.84% 18.32% 1.94 94.84 1.01 12.47 1.20
5 Year 13.41% 13.41% 10.76% 12.06% 1.12 97.20 1.02 15.77 0.66
Life 7.86% 7.86% 8.43% 8.25% -- -- -- -- --
XLG OEF IWL SPY EQWL
Name INVESCO ISHARES ISHARES State Street INVESCO
Name S&P 500 S&P 500 RUSSELL SPDR S&P 100
Name TOP 50 TOP 100 TOP 200 S&P 500 EQUAL WEIGHT
Issue type ETF ETF ETF ETF Trust ETF
Market price $60.60 $352.21 $177.14 $713.86 $121.24
Quotes as of Apr-24-2026 Apr-24-2026 Apr-24-2026 Apr-24-2026 Apr-24-2026
Market total return (1 year) 19.36% 18.58% 17.90% 17.59% 13.73%
Market total return (3 years) 21.64% 20.66% 19.48% 18.19% 16.07%
Market total return (5 years) 14.05% 13.41% 12.49% 11.94% 11.05%
Market total return (10 years) 15.72% 15.06% 14.85% 14.06% 13.64%
Premium / discount (1 year avg.) 0.00% 0.01% 0.00% 0.00% 0.05%
Beta (month-end 3 years) 1.02 1.01 1 1 0.89
Standard deviation (month-end 3 years) 13.2 12.47 12.09 12.04 11.71
Sharpe ratio (month-end 3 years) 1.2 1.2 1.15 1.06 0.93
Alpha (month-end 3 years) 2.65 1.94 1.09 -0.1 -0.58
R2 (month-end 3 years) 87.79 94.84 98.45 100 83.86