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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 65 Yes - major U.S. index fund of 500 Giant(47%), Large(35%) & Medium(18%) companies
iShares:Russ Top 200 IWL Bullish 65 Yes - gauge the health of 200 Giant(54%), Large(40%) & Medium(6%) companies within the U.S.
iShares:Russ Mid-Cap IWR Bullish 407 Yes - gauge the health of 800 Large(4%), Medium(74%) & Small(22%) companies within the U.S.
iShares:Russ 2000 ETF IWM Bullish 401 Yes - gauge the health of 2000 Medium(2%), Small(48%) & Micro(50%) companies within the U.S.
iShares:US Transportatn IYT Bullish 400 Yes - measure Industry & Manufacture strength - supply and demand
SS SPDR S&P Retail XRT Bullish 20 Not Yet - measure strength of economy and consumer confidence
SS SPDR S&P Reg Banking KRE Bullish 199 Yes - measure the health of financial system in the U.S.
iShares:Biotechnology IBB Bullish 41 Not Yet - highly speculated: assesses where money is flowing
VanEck:Semiconductor SMH Bullish 398 Yes - innovation: a major player technology trends
As of (LastD) = 18-Jun-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(TPw,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 71 3.27% 5.53% 6.91% Bullish 311 13.42% Bullish 331 4 3 Risk_On
SP400 (MDY) Daily (10Yr) Bullish 70 2.61% 4.40% 5.49% Bullish 357 10.55% Bullish 331 2 3 Risk_On
SP500EW (RSP) Daily (10Yr) Bullish 65 1.91% 3.36% 4.32% Bullish 402 7.73% Bullish 353 2 3 Risk_On
SP1500 (ITOT) Daily (10Yr) Bullish 66 2.71% 4.76% 5.58% Bullish 72 9.24% Bullish 1234 11 3 Risk_On
SP500 (SPY) Daily (10Yr) Bullish 66 2.68% 4.71% 5.49% Bullish 72 9.08% Bullish 1233 11 3 Risk_On
As of (LastD) = 18-Jun-26 --- EMA() EMA() EMA() 18-Jun-26 --- SMA() 18-Jun-26 --- --- --- 18-Jun-26
CountIF (Bullish) = 5 5 5 15 Risk_On
My Rankings (WWL) 2026-06-18 1 2 3 4 5 6 7 8 9 10 Buy HTD Sell
1- MAA : LTBH (BRKB) 1-LRRS : ROC() & TPPO() FSMAX FXAIX FFNOX FSPSX BRK/B FXNAX - - - - -- BRKB --
2- MAA : Multi-Asset ETF's 2-LRRS : ROC() & TPPO() AOA RLY AOR AOM IYLD AOK - - - - 2 1 3
3- QAA : Market ETF's 3-LRRS : ROC() & TPPO() EEM PRF PRFZ CMDY USRT XLG IEFA TLT - - 3 1 4
4- QAA : Factor ETF's 4-LRRS : ROC() & TPPO() VLUE MTUM COMT LRGF QUAL SIZE EFAV USMV - - 3 1 4
6- QAA : Equal-Wght'd ETF's 6-LRRS : ROC() & TPPO() QQQE EQWL EQAL RSP EUSA EDOW - - - - 2 1 3
5- ROE_GMI (1 thru 5 of 25) 5-LRRS : ROC() & TPPO() LRCX AMAT FIX FTNT VRT - - - - - 15 4 6
5- ROE_GMI (6 thru 15) 5-LRRS Status : Top 15 MU WDC NTAP GOOGL GWW QCOM EME ROST LLY SCCO 15 na 0
5- ROE_GMI (16 thru 25) 5-LRRS Status : Bottom 10 NVDA KLAC INCY DGX DXCM GILD A GD FERG ITW na 4 6
Similar funds Direxion First Trust First Trust Invesco Fidelity First Trust
Comparisons NASDAQ-100 Nasdaq-100 NASDAQ-100 QQQ Nasdaq NASDAQ-100
Equal Weighted Equal Weighted Ex-Technology Sector Trust Composite Technology Sector
Index Fund Index Fund Index Fund Index Fund Index Fund Index Fund
AS OF May-31-2026 QQQE QQEW QQXT QQQ ONEQ QTEC
Asset class U.S. Equity U.S. Equity U.S. Equity U.S. Equity U.S. Equity Sector Equity
Investment philosophy Passively Managed Passively Managed Passively Managed Passively Managed Passively Managed Passively Managed
Price perf. (52-weeks) 27.90% 18.80% 0.49% 40.01% 35.62% 64.15%
Net assets $1.35B $1.81B $176.77M $493.99B $10.92B $3.66B
Gross expense ratio 0.35% 0.55% 0.57% 0.18% 0.21% 0.55%
Net expense ratio 0.35% 0.55% 0.57% 0.18% 0.21% 0.55%