17.01.15

The Relative Strength Concept / 3 Week

Die letzte Woche war wirklich nicht einfach. Während DAX aus dem Dreieck nach oben ausbrach, ging amerikanischer Markt in die Knie. Dennoch bleibt Börsenindex Momentum Indikator zunächst auf "Grün".
Ich persönlich rechne mit weiter steigenden Kursen, zumindest was deutschen Markt betrifft. Laut Zyklus Analyse sollte so bis in die 8-9 Kalenderwoche bleiben.




Name Kurs IKH Senkou Span A IKH Senkou Span B RSL
DAX + MDAX+TecDAX
1 BB BIOTECH NAM.      SF 1 237,5 215,51 202,8 1,48
2 DIALOG SEMICOND.   LS-,10 31,52 30,426 28,995 1,255
3 GAGFAH S.A. NOM.  EO 1,25 19,055 18,499 16,74 1,253
4 WIRECARD AG 37,785 36,232 32,955 1,229
5 DT.ANNINGTON IMM.SE 29,355 28,038 25,895 1,224
6 DUERR AG O.N. 75,33 72,46 64,44 1,22
7 FRESENIUS SE+CO.KGAA O.N. 48,315 45,07 44,138 1,219
8 TUI AG NA 14,62 14,108 13,28 1,217
9 MERCK KGAA O.N. 86,44 81,46 78 1,21
10 DEUTSCHE WOHNEN AG INH 21,245 20,036 19,22 1,21
11 SYMRISE AG INH. O.N. 53,11 50,88 48,48 1,21
12 TAG IMMOBILIEN AG 10,945 10,162 9,924 1,198
13 FREENET AG NA 25,43 23,985 22,902 1,189
14 FRESEN.MED.CARE KGAA O.N. 64,9 62,15 60,82 1,17
15 FIELMANN AG O.N. 59,48 57,3 54,74 1,17
16 HANN.RUECK SE NA O.N. 78,35 75,28 71,58 1,17
17 MTU AERO ENGINES NA O.N. 79 74,25 72,78 1,17
18 UTD.INTERNET AG NA 38,675 37,72 34,99 1,167
19 PROSIEBENSAT.1  NA O.N. 37,75 35,528 34,525 1,165
20 CONTINENTAL AG O.N. 188,7 176,62 169,95 1,16
21 DAIMLER AG NA O.N. 74,38 69,78 66,96 1,16
22 JUNGHEINRICH AG O.N.VZO 54,63 52,62 48,96 1,16
23 OSRAM LICHT AG NA O.N. 36,95 34,168 32,032 1,16
24 BECHTLE AG O.N. 70,91 66,4 64,82 1,16
25 DT.TELEKOM AG NA 14,05 13,306 12,73 1,156
26 BAYER AG  NA 123,7 116,18 115,35 1,15
27 DEUTSCHE BOERSE NA O.N. 63,66 60,39 58,56 1,15
28 HENKEL AG+CO.KGAA VZO 95,92 91,53 86,43 1,15
29 A.SPRINGER SE VNA 51,98 49,89 46,98 1,15
30 KUKA AG 57,35 57,75 56,03 1,15
31 DRILLISCH AG O.N. 32,51 30,39 28,938 1,145
32 AURUBIS AG 46,065 44,948 44,44 1,131
33 ELRINGKLINGER AG NA O.N. 29,53 28,401 26,682 1,13
34 LEG IMMOBILIEN AG 63,59 62,03 58,62 1,13
35 SARTORIUS AG VZO O.N. 103,45 101,71 96,15 1,13
36 DMG MORI SEIKI AG O.N. 25,05 23,879 22,745 1,124
37 BEIERSDORF AG O.N. 75,07 70,39 68,65 1,12
38 KRONES AG O.N. 82,49 80,45 77,79 1,12
39 CANCOM SE O.N. 37,04 35,385 34,125 1,12
40 NORMA GROUP SE NA    O.N. 41,19 39,878 38,868 1,111
41 LEONI AG NA O.N. 52,9 49,5 48,42 1,11
42 NEMETSCHEK AG O.N. 87,37 85,48 83,37 1,11
43 JENOPTIK AG O.N. 10,78 10,17 9,7 1,108
44 QIAGEN NV         EO -,01 20,455 19,395 19,192 1,106
45 NORDEX SE O.N. 15,79 15,27 14,67 1,102
46 VOLKSWAGEN AG VZO O.N. 191,8 182,6 177,12 1,1
47 DRAEGERWERK VZO O.N. 81,6 82,41 79,76 1,1
48 EVOTEC AG O.N. 3,737 3,7 3,36 1,1
49 BRENNTAG AG 45,35 44,776 42,178 1,099
50 STRATEC BIOMEDICAL EO 1 46,77 45,892 47,37 1,099
51 DEUTSCHE EUROSHOP AG O.N. 38,73 37,14 36,385 1,095
52 DEUTSCHE POST AG NA O.N. 27,555 26,698 25,665 1,093
53 ALLIANZ SE VNA O.N. 142,5 137,21 132,6 1,09
54 MUENCH RUECKVERS.VNA O.N. 171,1 164,15 161 1,09
55 INFINEON TECH.AG NA O.N. 9,114 8,706 8,144 1,088
56 KION GROUP AG 32,5 31,366 30,342 1,085
57 COMPUGROUP MED.AG O.N. 20,95 20,342 19,95 1,085
58 RTL GROUP 80,4 78,22 76,54 1,08
59 PFEIFFER VACUUM TECH.O.N. 73,49 69,99 65,54 1,08
60 SOFTWARE AG O.N. 21,75 20,779 20,848 1,079
61 FUCHS PETROL.SE VZO O.N. 33,89 33,149 31,945 1,076
62 LUFTHANSA AG VNA O.N. 14,245 14,256 13,12 1,07
63 K+S AG NA O.N. 24,465 23,26 23,092 1,061
64 BAY.MOTOREN WERKE AG ST 93,59 88,95 87,6 1,06
65 HEIDELBERGCEMENT AG O.N. 60,24 58,67 57,06 1,06
66 LINDE AG O.N. 159,8 153,05 151,8 1,06
67 XING AG 93,98 92,63 89,92 1,06
68 KONTRON AG O.N. 5 5,032 4,894 1,051
69 HOCHTIEF AG 61,75 58,64 58,14 1,05
70 KABEL DT. HOLDING AG O.N. 114 113,3 110,1 1,05
71 GERRY WEBER INTERNAT.O.N. 33,955 33,066 31,615 1,043
72 RIB SOFTWARE AG NA 11,43 11,191 10,413 1,041
73 SIEMENS AG NA 95,47 92,44 91,1 1,04
74 FRAPORT AG FFM.AIRPORT 51,93 49,74 49,45 1,04
75 GEA GROUP AG 36,295 35,986 36,11 1,04
76 MAN SE ST O.N. 93,96 92,64 92,23 1,04
77 WINCOR NIXDORF O.N. 40,36 39,309 37,25 1,032
78 CARL ZEISS MEDITEC AG 22,7 21,669 21,362 1,024
79 METRO AG ST O.N. 26,785 25,185 25,005 1,014
80 AAREAL BANK AG 33,76 32,891 33,462 1,013
81 SAP SE O.N. 57,57 55,91 55,15 1,01
82 HUGO BOSS AG  NA O.N. 104,35 102,18 102,76 1,01
83 CELESIO AG NAM. O.N. 26,34 26,339 26,518 1,006
84 THYSSENKRUPP AG O.N. 20,735 20,465 20,188 1,004
85 AIRBUS GROUP N.V. 46,1 44,481 44,822 1,003
86 MORPHOSYS AG O.N. 73,8 78,05 80,04 1
87 RHOEN-KLINIKUM O.N. 23,27 23,009 23,532 0,996
88 TALANX AG NA O.N. 25,66 25,009 25,042 0,994
89 EVONIK INDUSTRIES AG 26,775 26,582 26,138 0,992
90 TELEFONICA DTLD HLDG AG 4,693 4,476 4,232 0,99
91 BASF SE NA O.N. 72,67 69,79 71,01 0,98
92 GERRESHEIMER AG 47,8 45,216 44,725 0,978
93 DEUTSCHE BANK AG NA O.N. 24,705 24,641 25,078 0,966
94 E.ON SE NA 13,11 13,43 13,905 0,942
95 RHEINMETALL AG 36,365 35,154 33,738 0,94
96 BILFINGER SE O.N. 48,205 46,302 46,76 0,931
97 ADIDAS AG NA O.N. 56,59 56,47 60,32 0,93
98 WACKER CHEMIE        O.N. 83,97 86,82 90,11 0,93
99 COMMERZBANK AG 10,54 11,028 11,39 0,924
100 STADA ARZNEIMITT.VNA O.N. 26,78 26,246 27,76 0,902
101 KLOECKNER + CO SE NA 8,64 8,862 9,004 0,888
102 MANZ AG 58,38 58,69 59,68 0,88
103 SALZGITTER AG O.N. 22,56 22,692 24,98 0,866
104 SUEDZUCKER AG  O.N. 10,545 11,346 11,785 0,843
105 LPKF LASER+ELECTRON. 10,305 10,63 11,315 0,841
106 QSC AG NA O.N. 1,732 1,686 1,612 0,823
107 RWE AG ST O.N. 23,5 24,462 25,76 0,82
108 LANXESS AG 35,035 35,745 37,912 0,817
109 AIXTRON SE NA O.N. 7,732 8,618 8,861 0,786
110 SMA SOLAR TECHNOL.AG 14,355 14,652 17,94 0,7






GB FTSE 100
1 INTERNATIONAL CONSOLIDATED AIRLINES GROUP S.A. ORD EUR0.50 (CDI) 491,3 475,95 450 1,25
2 CARNIVAL PLC ORD USD 1.66 2990 2953 2790,5 1,2
3 RANDGOLD RESOURCES LD ORD $0.05 5390 4825,5 4524 1,2
4 SAGE GROUP PLC ORD 1 4/77P 469,2 456,15 420,8 1,19
5 FRIENDS LIFE GROUP LIMITED ORD NPV 381,5 364,9 317,25 1,16
6 MORRISON (WM) SUPERMARKETS PLC ORD 10P 192,7 180,17 173,15 1,12
7 ADMIRAL GROUP PLC ORD 0.1P 1454 1350,5 1314,7 1,1
8 ASSOCIATED BRITISH FOODS PLC ORD 5 15/22P 3093 3096,5 2948 1,1
9 ASTRAZENECA PLC ORD SHS $0.25 4715 4619,9 4601 1,1
10 BRITISH LAND COMPANY PLC ORD 25P 800 768,5 758,5 1,1
11 BUNZL PLC ORD 32 1/7P 1853 1775,8 1763 1,1
12 BURBERRY GROUP PLC ORD 0.05P 1658 1628,5 1581 1,1
13 COMPASS GROUP PLC ORD 10 5/8P 1093 1083,8 1056 1,1
14 CRH PLC ORD EUR 0.32 1508 1498,5 1473,5 1,1
15 EASYJET PLC ORD 27 2/7P 1600 1651,5 1626,5 1,1
16 EXPERIAN PLC ORD USD0.10 1145 1094,8 1040,5 1,1
17 IMPERIAL TOBACCO GROUP PLC ORD 10P 2892 2857 2826,5 1,1
18 INTERCONTINENTAL HOTELS GROUP PLC ORD 15 265/329P 2601 2574 2539 1,1
19 JOHNSON MATTHEY PLC ORD 104 16/21P 3451 3387,8 3248,5 1,1
20 LAND SECURITIES GROUP PLC ORD 10P 1234 1179,5 1164 1,1
21 LONDON STOCK EXCHANGE GROUP PLC ORD SHS 6 79/86P 2255 2187,2 2138 1,1
22 REED ELSEVIER PLC ORD 14 51/116P 1102 1085,2 1069,5 1,1
23 SCHRODERS PLC VTG SHS ú1 2633 2619,5 2582,5 1,1
24 SEVERN TRENT PLC ORD 97 17/19P 2127 2030,2 2018 1,1
25 SMITH & NEPHEW PLC ORD USD0.20 1176 1141,5 1111,5 1,1
26 UNILEVER PLC ORD 3 1/9P 2747 2641,2 2617 1,1
27 UNITED UTILITIES GROUP PLC ORD 5P 964,5 925,25 901,25 1,1
28 WHITBREAD PLC ORD 76 122/153P 4769 4664,2 4552,5 1,1
29 WOLSELEY PLC ORD 10 53/66P 3632 3644,2 3530 1,1
30 WPP PLC ORD 10P 1385 1349 1463,5 1,1
31 3I GROUP PLC ORD 73 19/22P 436,3 433,95 423,2 1,09
32 ARM HOLDINGS PLC ORD 0.05P 990 965 935 1,09
33 VODAFONE GROUP PLC ORD USD0.20 20/21 227,8 220,48 218,95 1,09
34 FRESNILLO PLC ORD USD0.50 884,5 809 782 1,08
35 HAMMERSON PLC ORD 25P 649,5 618,5 614,25 1,08
36 SPORTS DIRECT INTERNATIONAL PLC ORD 10P 725 697,5 670,25 1,08
37 BAE SYSTEMS PLC ORD 2.5P 483,8 464,6 460,55 1,07
38 BT GROUP PLC ORD 5P 409,1 399,53 390,75 1,06
39 DIRECT LINE INSURANCE GROUP PLC ORD 10P 305,5 295,88 289,75 1,06
40 G4S PLC ORD 25P 279,5 274,77 267,9 1,06
41 GKN PLC ORD 10P 355,9 341,52 336,25 1,06
42 ITV PLC ORD 10P 219,6 211,9 209,5 1,06
43 LEGAL & GENERAL GROUP PLC ORD 2 1/2P 250,4 242,28 239,7 1,06
44 ST. JAMES'S PLACE PLC ORD 15P 789,5 784 780,5 1,06
45 MEGGITT PLC ORD 5P 509 507,12 483,7 1,05
46 INTU PROPERTIES PLC ORD 50P 345 333,7 340,1 1,04
47 SKY PLC ORD 50P 920,5 893,5 897 1,04
48 TESCO PLC ORD 5P 219,05 194,52 189 1,04
49 MARKS AND SPENCER GROUP PLC ORD 25P 454,1 459,72 449,35 1,03
50 KINGFISHER PLC ORD 15 5/7P 318 324,5 312,9 1,02
51 NATIONAL GRID PLC ORD 11 17/43P 916,9 906,8 912,75 1,02
52 AGGREKO PLC ORD 4 329/395P 1540 1482 1503 1
53 ASHTEAD GROUP PLC ORD 10P 1045 1102,8 1112 1
54 AVIVA PLC ORD 25P 506,5 483,9 499,1 1
55 BRITISH AMERICAN TOBACCO PLC ORD 25P 3584 3499,6 3566 1
56 DIAGEO PLC ORD 28 101/108P 1891,5 1845,6 1878,2 1
57 GLAXOSMITHKLINE PLC ORD 25P 1431 1388,5 1413,5 1
58 IMI PLC ORD 28 4/7P 1232 1221,8 1231,5 1
59 MONDI PLC ORD EUR 0.20 1063 1042,4 1046,8 1
60 NEXT PLC ORD 10P 6855 6785 6682,5 1
61 OLD MUTUAL PLC ORD 11 3/7P 191,7 186,82 189,6 1
62 PEARSON PLC ORD 25P 1221 1174,8 1183,5 1
63 PERSIMMON PLC ORD 10P 1449 1504 1477,8 1
64 PRUDENTIAL PLC ORD 5P 1499,5 1476,2 1491,8 1
65 RECKITT BENCKISER GROUP PLC ORD 10P 5375 5206,2 5208,8 1
66 ROYAL BANK OF SCOTLAND GROUP PLC ORD 100P 363 373,28 380,55 1
67 ROYAL MAIL PLC ORD 1P 431,2 419,62 437,05 1
68 SABMILLER PLC ORD $0.10 3389,5 3279 3367,8 1
69 SHIRE PLC ORD 5P 4699 4599,2 4442,5 1
70 SSE PLC ORD 50P 1497 1549,5 1568 1
71 STANDARD LIFE PLC ORD 10P 394 390,12 400,85 1
72 TRAVIS PERKINS PLC ORD 10P 1784 1797 1740,5 1
73 BARCLAYS PLC ORD 25P 224,35 230,86 234,74 0,99
74 LLOYDS BANKING GROUP PLC ORD 10P 74,44 74,76 76,49 0,99
75 RSA INSURANCE GROUP PLC ORD GBP1.00 447,8 434,25 451,35 0,98
76 SAINSBURY (J) PLC ORD 28 4/7P 256,8 242,03 251,75 0,96
77 ABERDEEN ASSET MANAGEMENT PLC ORD 10P 407,9 420,28 436,7 0,95
78 HSBC HOLDINGS PLC ORD $0.50 (UK REG) 594 601,12 613,8 0,95
79 HARGREAVES LANSDOWN PLC ORD 0.4P 935,5 957,62 986 0,93
80 ANTOFAGASTA PLC ORD 5P 691 689,12 693,48 0,92
81 BP PLC $0.25 413,35 395,55 408,43 0,92
82 ROLLS-ROYCE HOLDINGS PLC ORD SHS 20P 861 853,88 851,5 0,92
83 BABCOCK INTERNATIONAL GROUP PLC ORD 60P 1008 1046,8 1099,2 0,9
84 CAPITA PLC ORD 2.066666P 1071 1059,2 1065,5 0,9
85 INTERTEK GROUP PLC ORD 1P 2351 2332,8 2469 0,9
86 RIO TINTO PLC ORD 10P 2888,5 2848,2 2684 0,9
87 ROYAL DUTCH SHELL PLC 'A' ORD EUR0.07 2102,5 2073,2 2114,2 0,9
88 ROYAL DUTCH SHELL PLC 'B' ORD EUR0.07 2167,5 2127,8 2196,5 0,9
89 SMITHS GROUP PLC ORD 37.5P 1088 1063,8 1127,5 0,9
90 CENTRICA PLC ORD 6 14/81P 264,9 269,4 281,65 0,89
91 STANDARD CHARTERED PLC ORD USD0.50 900,6 932,5 932,5 0,83
92 ANGLO AMERICAN PLC ORD USD0.54945 1099,5 1120,8 1211,8 0,8
93 BG GROUP PLC ORD 10P 852,5 840,67 930,05 0,8
94 BHP BILLITON PLC ORD $0.50 1388 1332,6 1491,6 0,8
95 COCA-COLA HBC AG ORD CHF6.70 (CDI) 1077 1169,5 1261,5 0,8
96 GLENCORE PLC ORD USD0.01 252,55 270,34 287,6 0,76
97 WEIR GROUP PLC ORD 12.5P 1687 1734,8 1939 0,7
98 TULLOW OIL PLC ORD 10P 364,7 387,18 430,9 0,63
99 PETROFAC LIMITED ORD USD0.02 609,5 653,62 898,5 0,61
100 TULLOW OIL PLC ORD 10P 424,2 409,27 467,9 0,67






US NASDAQ 100
1 Staples, Inc. 17,35 16,865 15,44 1,3081
2 MONSTER BEVERAGE CORPORATION 118,89 112,9212 108,81 1,2699
3 Whole Foods Market, Inc. 51,46 50,24 45,85 1,2261
4 Celgene Corporation 121,81 115,1925 112,97 1,2231
5 Avago Technologies Limited - Ordinary Shares 103,82 101,28 95,44 1,2152
6 Electronic Arts Inc. 48,085 46,6325 44,32 1,2151
7 American Airlines Group, Inc. 49,81 50,805 48,035 1,1848
8 Ross Stores, Inc. 92,9 93,5825 88,625 1,1801
9 Vertex Pharmaceuticals Incorporated 122,86 119,02 116,995 1,1647
10 EXPRESS SCRIPTS HOLDING COMPANY 85,38 83,6975 81,475 1,1287
11 Cognizant Technology Solutions Corporation - Class A 55,035 53,06 52,04 1,1263
12 Henry Schein, Inc. 139,5 137,1175 130,785 1,1258
13 Tractor Supply Company 76,52 78,1088 76,9488 1,124
14 Kraft Foods Group, Inc. 65,76 63,2025 61,27 1,1237
15 Check Point Software Technologies Ltd. - Ordinary Shares 80,81 78,86 77,335 1,1226
16 NXP Semiconductors N.V. 77,91 77,0175 75,5 1,1216
17 Sigma-Aldrich Corporation 137,48 136,9975 136,405 1,118
18 Dollar Tree, Inc. 66,71 68,2825 65,87 1,1117
19 Regeneron Pharmaceuticals, Inc. 408,69 410,1737 401,4442 1,1067
20 Intuitive Surgical, Inc. 530,63 521,9929 512,5708 1,1048
21 Fiserv, Inc. 73,04 71,16 70,89 1,0993
22 O'Reilly Automotive, Inc. 182,91 187,2925 185,905 1,0977
23 Cerner Corporation 65,59 64,175 63,575 1,0956
24 CATAMARAN CORPORATION 51,04 49,95 49,94 1,0955
25 Amgen Inc. 158,43 159,3875 162,335 1,0933
26 Bed Bath & Beyond Inc. 73,54 75,4075 73,355 1,0926
27 Stericycle, Inc. 134,15 132,4562 131,115 1,0912
28 Mylan Inc. 56 55,0338 55,965 1,0877
29 DISH Network Corporation - Class A 71,85 70,505 70,035 1,0833
30 Yahoo! Inc. 46,47 48,4475 49,18 1,0808
31 CA Inc. 31,36 30,7075 30,3825 1,0797
32 Cisco Systems, Inc. 27,68 27,6325 26,575 1,0784
33 Costco Wholesale Corporation 139,72 141,9225 140,095 1,0761
34 Biogen Idec Inc 352,75 345,1475 329,88 1,0751
35 Texas Instruments Incorporated 53,285 53,265 52,7725 1,0748
36 Paychex, Inc. 47,3 46,56 46,635 1,065
37 Marriott International - Class A 75,89 76,76 76,76 1,0623
38 C.H. Robinson Worldwide, Inc. 73,45 72,6375 72,685 1,0584
39 Western Digital Corporation 106,37 108,6974 105,54 1,0582
40 Intel Corporation 36,45 36,4377 35,45 1,054
41 Symantec Corporation 25,63 25,54 25,685 1,0477
42 Analog Devices, Inc. 53,69 54,4825 53,585 1,0468
43 Applied Materials, Inc. 23,47 23,9375 23,8075 1,0452
44 Seagate Technology. 63,41 64,9725 65,305 1,0397
45 Broadcom Corporation - Class A 41,72 41,9625 42,53 1,0395
46 NVIDIA Corporation 19,96 19,86 20,165 1,0385
47 Illumina, Inc. 183,82 187,5878 185,785 1,0365
48 Lam Research Corporation 77,58 78,4925 80,595 1,0362
49 Starbucks Corporation 80,61 81,085 79,835 1,0344
50 Comcast Corporation - Class A 56,77 56,6925 55,43 1,0339
51 Liberty Global plc - Class C Ordinary Shares 45,11 46,46 47,405 1,0338
52 Automatic Data Processing, Inc. 84,57 83,8925 84,01 1,0331
53 Vodafone Group Plc - American Depositary Shares each representing ten Ordinary Shares 34,59 33,7889 34,725 1,0309
54 Comcast Corporation - Class A Special 56,34 56,2825 55,21 1,0306
55 Liberty Global plc - Class A Ordinary Shares 46,4 47,895 48,84 1,0289
56 Alexion Pharmaceuticals, Inc. 180,44 182,6695 187,49 1,0273
57 Linear Technology Corporation 45,32 45,3425 44,915 1,02
58 Equinix, Inc. 220,24 222,8388 221,94 1,0199
59 Adobe Systems Incorporated 71,73 72,1625 73,27 1,0178
60 Apple Inc. 105,99 109,34 112,19 1,0173
61 Sirius XM Holdings Inc. 3,53 3,4796 3,4643 1,0172
62 Charter Communications, Inc. - Class A 161,11 161,965 156,11 1,017
63 Mondelez International, Inc. - Class A 36,94 36,9975 37,185 1,0148
64 Expeditors International of Washington, Inc. 43,37 43,645 44,6025 1,0137
65 PACCAR Inc. 64,5 66,1625 67,115 1,0115
66 Autodesk, Inc. 56,85 57,9395 59,257 1,0076
67 Verisk Analytics, Inc. - Class A 62,9 63,4294 63,615 1,0071
68 Microsoft Corporation 46,24 46,695 47,4725 1,0066
69 Fastenal Company 45,25 45,725 46,075 1,0019
70 Intuit Inc. 86,42 89,1355 90,2955 1,0013
71 eBay Inc. 53,66 54,9725 55,115 1,0012
72 Facebook Inc. 75,18 76,9675 77,34 0,9986
73 Gilead Sciences, Inc. 100,71 98,63 99,375 0,9977
74 Twenty-First Century Fox, Inc. - Class A 34,94 36,36 35,88 0,9975
75 Baidu, Inc. - American depositary shares, each representing one tenth Class A ordinary share 220,195 224,605 232,995 0,9949
76 DIRECTV 85,55 84,99 85,22 0,9949
77 Altera Corporation 34,84 35,965 36,255 0,9913
78 SBA Communications Corporation 109,515 110,6125 115,16 0,9911
79 Twenty-First Century Fox, Inc. - Class B 33,59 34,8775 34,62 0,9901
80 Liberty Interactive Corporation - Series A Liberty Interactive 27,93 28,42 27,685 0,9893
81 Akamai Technologies, Inc. 59,22 60,965 61,775 0,984
82 Garmin Ltd. 52,83 52,295 55,135 0,9707
83 KEURIG GREEN MOUNTAIN, INC. 129 133,6275 142,705 0,9659
84 QUALCOMM Incorporated 71,29 72,6825 73,1 0,9564
85 Xilinx, Inc. 41,215 42,6502 43,67 0,9534
86 Activision Blizzard, Inc 20,25 19,5375 20,205 0,9533
87 NetApp, Inc. 38,75 40,2025 40,95 0,9495
88 Google Inc. - Class C Capital Stock 508,08 506,9062 522,73 0,9175
89 KLA-Tencor Corporation 67,835 68,1225 74,56 0,9154
90 Amazon.com, Inc. 290,74 297,0975 313,255 0,9095
91 Google Inc. - Class A 510,455 511,74 529,03 0,9079
92 Micron Technology, Inc. 28,99 31,7675 32,55 0,8877
93 Viacom Inc. - Class B 68,07 70,88 71,865 0,8855
94 Citrix Systems, Inc. 58,38 60,3338 61,825 0,8821
95 The Priceline Group Inc. 1008,22 1063,7428 1109,8453 0,8632
96 Mattel, Inc. 27,815 29,19 29,59 0,8544
97 Netflix, Inc. 337,34 330,6151 355,5303 0,8301
98 SanDisk Corporation 78,925 89,8525 92,3675 0,8237
99 Wynn Resorts, Limited 146,99 145,8 162,655 0,8131
100 Tesla Motors, Inc. 193,07 203,32 222,495 0,8101
101 TripAdvisor, Inc. 68,18 71,1178 77,695 0,788
102 Discovery Communications, Inc. - Series A 29,415 31,6975 32,36 0,7855
103 Discovery Communications, Inc. - Series C 28,54 30,7875 31,61 0,7771
104 Liberty Media Corporation - Series A 34,545 34,665 40,835 0,6773
105 VimpelCom Ltd. - American Depositary Shares 3,69 3,8775 4,815 0,5571

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