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cGroup: Utilities

     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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Viewing Friday's Closing data.

NameSymbolRSfRtn-1dRtn-5dRtn-1moRtn-3moRtn-6moRtn-1yr$vol-21
popupVanEck Vectors-Nuclear Energy ETFNLR93.111.182.353.273.8817.3547.812m
popupReaves Utilities ETFUTES75.13-0.722.301.6713.7318.1710.09619k
popupDirexion Daily Util Bull 3x SharesUTSL57.88-3.613.142.9122.1730.67-20.055m
popupiShares US UtilitiesIDU56.43-1.011.381.2110.0116.093.744m
popupProshares Ultra UtilitiesUPW52.00-2.162.272.7215.9922.09-9.9784k
popupInvesco DWA UtilitiesPUI51.31-0.881.261.069.4313.883.5686k
popupVanguard UtilitiesVPU45.22-1.141.351.499.4514.150.2525m
popupFidelity MSCI UtilitiesFUTY45.10-1.091.231.479.3514.150.265m
popupInvesco S&P Equal Weight Utilities ETFRSPU44.30-1.001.021.108.4313.161.721m
popupSelect Sector SPDR Fund - UtilitiesXLU43.81-1.091.161.529.0313.500.29922m
popupFirst Trust Utilities AlphaDEX FundFXU43.25-1.140.550.527.6414.861.251m
popupiShares S&P Gbl UtilitiesJXI32.65-0.601.230.355.3311.80-0.93413k
popupFirst Trust EIP Carbon Impact ETFECLN31.84-0.461.450.935.769.86-0.6766k
popupInvesco S&P SmallCap Utilities PortfolioPSCU8.420.341.90-1.28-2.907.28-5.5553k
popupProshares UltraShort UtilitiesSDP4.432.43-2.18-2.48-14.70-20.634.2074k
15 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 Friday's Closing data.

Symbol 04/2604/1904/1204/0503/2803/2103/1403/0702/2902/2202/1402/0701/31
NLR 93.193.793.594.385.986.277.693.288.078.990.296.095.7
UTES 75.176.658.257.658.037.827.837.223.613.311.610.912.7
UTSL 57.947.57.216.228.24.74.16.14.23.73.22.54.3
IDU 56.462.739.138.243.527.219.729.717.812.711.910.412.4
UPW 52.048.910.824.932.67.15.88.16.45.55.14.46.0
PUI 51.356.636.836.841.826.315.128.014.610.49.79.511.6
VPU 45.249.626.630.633.412.59.913.810.29.29.18.29.9
FUTY 45.149.826.830.233.112.49.812.410.19.08.98.09.8
RSPU 44.350.227.830.837.717.111.323.311.810.110.09.411.9
XLU 43.849.425.728.832.211.79.512.210.09.09.08.410.1
FXU 43.249.724.931.334.516.614.023.511.911.711.710.012.2
JXI 32.630.413.718.924.49.89.212.59.39.69.59.913.2
ECLN 31.828.014.320.124.09.58.710.09.19.98.98.710.8
PSCU 8.47.46.87.27.97.37.58.59.78.612.310.212.4
SDP 4.45.513.26.05.212.919.08.223.441.156.477.150.6

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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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