13.02.15

The Relative Strength Concept / 7 Week



Name Kurs IKH Senkou Span A IKH Senkou Span B RSL
DAX + MDAX+TecDAX
1 BB BIOTECH NAM.      SF 1 242,5 239,41 216,4 1,37
2 DUERR AG O.N. 86,2 82,12 77,48 1,33
3 NEMETSCHEK AG O.N. 109 100,22 94,36 1,33
4 DT.ANNINGTON IMM.SE 33,345 31,361 29,25 1,32
5 COMPUGROUP MED.AG O.N. 26 23,87 22,908 1,308
6 DIALOG SEMICOND.   LS-,10 34,645 33,285 30,848 1,302
7 XING AG 119,1 109,31 104,35 1,3
8 DMG MORI SEIKI AG O.N. 29,3 27,942 24,935 1,289
9 DEUTSCHE WOHNEN AG INH 23,9 22,674 21,178 1,287
10 KUKA AG 66,9 64,4 61,83 1,27
11 DEUTSCHE TELEKOM AG NA 15,94 15,168 14,2 1,264
12 WIRECARD AG 40,64 39,555 37,168 1,264
13 DAIMLER AG NA O.N. 83,19 79,54 74,41 1,26
14 OSRAM LICHT AG NA O.N. 41,02 40,329 37,555 1,253
15 TAG IMMOBILIEN AG 11,835 11,382 10,44 1,244
16 JENOPTIK AG O.N. 12,235 11,904 10,664 1,241
17 KONTRON AG O.N. 5,99 5,602 5,422 1,238
18 FUCHS PETROL.SE VZO O.N. 39,885 37,27 35,9 1,237
19 CONTINENTAL AG O.N. 205,9 196,08 185,2 1,23
20 DEUTSCHE BOERSE NA O.N. 70,79 67,89 63,38 1,23
21 LEG IMMOBILIEN AG 72,06 68,62 65,68 1,23
22 TUI AG NA 15,54 15,215 14,512 1,229
23 AURUBIS AG 51,71 48,99 47,122 1,217
24 DRILLISCH AG O.N. 35,3 33,744 31,328 1,216
25 DEUTSCHE EUROSHOP AG O.N. 44,04 41,866 39,44 1,215
26 PROSIEBENSAT.1  NA O.N. 40,7 39,159 36,945 1,213
27 K+S AG NA O.N. 28,675 27,255 25,382 1,212
28 BRENNTAG AG 51,06 48,7 46,7 1,212
29 FREENET AG NA 26,815 25,9 24,38 1,211
30 BAY.MOTOREN WERKE AG ST 107,8 101,26 95,8 1,21
31 HEIDELBERGCEMENT AG O.N. 69,56 65,74 62,32 1,21
32 A.SPRINGER SE VNA 56,59 54,64 51,75 1,21
33 NORMA GROUP SE NA    O.N. 45,435 43,765 41,46 1,206
34 VOLKSWAGEN AG VZO O.N. 212,65 203,22 194,2 1,2
35 HANN.RUECK SE NA O.N. 83 80,51 77,58 1,2
36 SYMRISE AG INH. O.N. 55,22 55,48 53,51 1,2
37 NORDEX SE O.N. 17,505 17,27 16,093 1,194
38 SOFTWARE AG O.N. 24,385 23,175 22,06 1,192
39 DRAEGERWERK VZO O.N. 91 87,79 85,14 1,19
40 PFEIFFER VACUUM TECH.O.N. 81,78 78,9 73,46 1,19
41 INFINEON TECH.AG NA O.N. 10,055 9,746 9,002 1,184
42 HENKEL AG+CO.KGAA VZO 100,5 99,59 95,16 1,18
43 SARTORIUS AG VZO O.N. 110,85 109,58 105,5 1,18
44 METRO AG ST O.N. 30,735 28,834 26,648 1,177
45 MERCK KGAA O.N. 87,66 86,37 82,52 1,17
46 GEA GROUP AG 41,85 39,606 37,862 1,169
47 CANCOM SE O.N. 38,805 38,164 35,795 1,169
48 RIB SOFTWARE AG NA 12,755 11,851 11,265 1,166
49 EVOTEC AG O.N. 3,945 3,825 3,615 1,163
50 UTD.INTERNET AG NA 39,93 38,935 37,568 1,163
51 LINDE AG O.N. 178,1 169,38 160,82 1,16
52 KION GROUP AG 35,145 33,482 32,305 1,159
53 RTL GROUP 87 84,25 81,19 1,15
54 FRESENIUS SE+CO.KGAA O.N. 47,59 47,989 46,252 1,148
55 BAYER AG  NA 126,45 124,19 119,58 1,14
56 MUENCH RUECKVERS.VNA O.N. 182,4 176,68 169,22 1,14
57 HOCHTIEF AG 67,08 63,91 60,93 1,14
58 JUNGHEINRICH AG O.N.VZO 54,29 53,99 51,94 1,14
59 LEONI AG NA O.N. 54,45 54,15 51,3 1,14
60 ELRINGKLINGER AG NA O.N. 30,095 30,564 29,108 1,137
61 BASF SE NA O.N. 83,25 78,51 74,81 1,13
62 BILFINGER SE O.N. 56,09 51,27 48,92 1,13
63 KRONES AG O.N. 84,72 83,06 80,62 1,13
64 MTU AERO ENGINES NA O.N. 79,55 80,18 75,58 1,13
65 BECHTLE AG O.N. 71 72,78 67,97 1,13
66 DEUTSCHE POST AG NA O.N. 28,95 28,364 27,605 1,128
67 CARL ZEISS MEDITEC AG 24,745 23,856 22,632 1,111
68 ALLIANZ SE VNA O.N. 148,6 145,75 140,4 1,11
69 FIELMANN AG O.N. 58,22 59,48 57,89 1,11
70 KABEL DT. HOLDING AG O.N. 122,7 120,42 117,38 1,11
71 WACKER CHEMIE        O.N. 101,9 96,35 92,81 1,11
72 DEUTSCHE BANK AG NA O.N. 28,35 26,684 25,835 1,108
73 THYSSENKRUPP AG O.N. 23,005 22,308 21,498 1,108
74 ADIDAS AG NA O.N. 64,88 61,95 59,73 1,1
75 BEIERSDORF AG O.N. 75,25 75,04 72,26 1,1
76 FRESEN.MED.CARE KGAA O.N. 63,84 64,46 62,28 1,1
77 LANXESS AG 45,93 42,38 39,995 1,098
78 QIAGEN NV         EO -,01 20,63 20,158 19,488 1,098
79 GERRY WEBER INTERNAT.O.N. 35,31 34,886 32,82 1,089
80 EVONIK INDUSTRIES AG 29,15 28,066 27,26 1,084
81 RHEINMETALL AG 40,365 39,511 37,42 1,082
82 SUEDZUCKER AG  O.N. 13,08 12,322 11,872 1,075
83 AIRBUS GROUP N.V. 49,725 48,001 45,412 1,072
84 SAP SE O.N. 60,69 58,7 57,08 1,07
85 FRAPORT AG FFM.AIRPORT 54 52,66 50,9 1,07
86 TALANX AG NA O.N. 27,63 26,845 25,792 1,07
87 AAREAL BANK AG 35,575 34,101 33,38 1,062
88 HUGO BOSS AG  NA O.N. 110,2 108,92 107,62 1,06
89 WINCOR NIXDORF O.N. 41,525 40,478 39,378 1,06
90 SIEMENS AG NA 95,96 95,91 95,63 1,04
91 MAN SE ST O.N. 95,24 94,12 92,94 1,04
92 QSC AG NA O.N. 1,984 1,914 1,728 1,039
93 TELEFONICA DTLD HLDG AG 4,723 4,692 4,54 1,035
94 CELESIO AG NAM. O.N. 27,065 26,599 26,518 1,029
95 GERRESHEIMER AG 49,605 48,059 46,03 1,028
96 KLOECKNER + CO SE NA 9,871 9,4 9,116 1,026
97 SALZGITTER AG O.N. 25,94 24,451 24,545 1,025
98 LUFTHANSA AG VNA O.N. 13,47 14,16 14,382 1,014
99 COMMERZBANK AG 11,565 11,169 11,342 1,012
100 LPKF LASER+ELECTRON. 11,63 10,712 10,611 0,998
101 STADA ARZNEIMITT.VNA O.N. 28,66 28,008 26,922 0,991
102 MORPHOSYS AG O.N. 73,85 75,06 80,19 0,99
103 E.ON SE NA 13,36 13,325 13,905 0,973
104 RHOEN-KLINIKUM O.N. 22,445 22,941 23,105 0,963
105 MANZ AG 62,56 61,94 57,93 0,96
106 STRATEC BIOMEDICAL EO 1 41,56 44,604 47,085 0,955
107 RWE AG ST O.N. 23,7 23,706 25,76 0,86
108 AIXTRON SE NA O.N. 7 7,255 8,06 0,747
109 SMA SOLAR TECHNOL.AG 12,525 12,438 16,058 0,677
 










GB FTSE 100
1 INTERNATIONAL CONSOLIDATED AIRLINES GROUP S.A. ORD EUR0.50 (CDI) 554 533,78 516,1 1,31
2 FRIENDS LIFE GROUP LIMITED ORD NPV 410,5 396,18 378,91 1,21
3 BURBERRY GROUP PLC ORD 0.05P 1861 1784 1727 1,2
4 CRH PLC ORD EUR 0.32 1820 1725 1636,5 1,2
5 EXPERIAN PLC ORD USD0.10 1198 1162,2 1111 1,2
6 LONDON STOCK EXCHANGE GROUP PLC ORD SHS 6 79/86P 2400 2341,8 2240,5 1,2
7 MONDI PLC ORD EUR 0.20 1257 1194 1130,5 1,2
8 PERSIMMON PLC ORD 10P 1658 1591,4 1557,4 1,2
9 SCHRODERS PLC VTG SHS ú1 2946 2848 2733 1,2
10 ST. JAMES'S PLACE PLC ORD 15P 899 857,88 823,25 1,18
11 TESCO PLC ORD 5P 241,6 229,81 200,78 1,18
12 3I GROUP PLC ORD 73 19/22P 473,1 460,78 446 1,15
13 SAGE GROUP PLC ORD 1 4/77P 471,4 475,2 443,75 1,15
14 HAMMERSON PLC ORD 25P 691 678,38 643,5 1,13
15 MEGGITT PLC ORD 5P 551,5 538 513,25 1,13
16 BAE SYSTEMS PLC ORD 2.5P 523 510,64 484,44 1,12
17 BRITISH LAND COMPANY PLC ORD 25P 831,5 823,78 787,25 1,12
18 BT GROUP PLC ORD 5P 439,1 433,32 425,38 1,12
19 GKN PLC ORD 10P 379 367,07 352,8 1,12
20 LEGAL & GENERAL GROUP PLC ORD 2 1/2P 270 262,83 251,85 1,12
21 OLD MUTUAL PLC ORD 11 3/7P 216 207,1 196,4 1,12
22 BARCLAYS PLC ORD 25P 256,45 244,71 239,89 1,11
23 ADMIRAL GROUP PLC ORD 0.1P 1459 1443,2 1353 1,1
24 AGGREKO PLC ORD 4 329/395P 1682 1605,2 1538,5 1,1
25 ARM HOLDINGS PLC ORD 0.05P 1062 1051,4 994,8 1,1
26 BUNZL PLC ORD 32 1/7P 1882 1870,5 1811,5 1,1
27 CARNIVAL PLC ORD USD 1.66 2900 2951,2 2913,5 1,1
28 COMPASS GROUP PLC ORD 10 5/8P 1119 1130 1105,5 1,1
29 EASYJET PLC ORD 27 2/7P 1707 1738,9 1750,5 1,1
30 GLAXOSMITHKLINE PLC ORD 25P 1553 1480,7 1435,8 1,1
31 IMI PLC ORD 28 4/7P 1416 1332,2 1286 1,1
32 IMPERIAL TOBACCO GROUP PLC ORD 10P 3025 3018,8 2931,5 1,1
33 INTERCONTINENTAL HOTELS GROUP PLC ORD 15 265/329P 2619 2621,8 2583 1,1
34 INTU PROPERTIES PLC ORD 50P 374 361,27 347,6 1,1
35 JOHNSON MATTHEY PLC ORD 104 16/21P 3447 3354,5 3351,5 1,1
36 LAND SECURITIES GROUP PLC ORD 10P 1250 1260,2 1212 1,1
37 MARKS AND SPENCER GROUP PLC ORD 25P 494 478,53 469,85 1,1
38 NEXT PLC ORD 10P 7225 7113,3 6828,3 1,1
39 PEARSON PLC ORD 25P 1362 1320,2 1256,5 1,1
40 PRUDENTIAL PLC ORD 5P 1599,5 1579 1529,8 1,1
41 RANDGOLD RESOURCES LD ORD $0.05 5105 5330,3 4842,1 1,1
42 RECKITT BENCKISER GROUP PLC ORD 10P 5660 5620,2 5390 1,1
43 REED ELSEVIER PLC ORD 14 51/116P 1160 1153,6 1117 1,1
44 SHIRE PLC ORD 5P 5130 4848 4749 1,1
45 SMITH & NEPHEW PLC ORD USD0.20 1163 1172,9 1111,5 1,1
46 TRAVIS PERKINS PLC ORD 10P 1980 1919,8 1863 1,1
47 UNILEVER PLC ORD 3 1/9P 2789 2815 2732,5 1,1
48 WHITBREAD PLC ORD 76 122/153P 5000 4916 4759,5 1,1
49 WOLSELEY PLC ORD 10 53/66P 3885 3811,6 3773,5 1,1
50 WPP PLC ORD 10P 1447 1433,8 1378,5 1,1
51 DIRECT LINE INSURANCE GROUP PLC ORD 10P 317 311,52 298,25 1,09
52 ITV PLC ORD 10P 230,5 223,62 216,55 1,09
53 KINGFISHER PLC ORD 15 5/7P 342,8 336,04 332,17 1,09
54 VODAFONE GROUP PLC ORD USD0.20 20/21 232,4 233,47 227,95 1,09
55 FRESNILLO PLC ORD USD0.50 879 873,25 811,25 1,08
56 G4S PLC ORD 25P 285,8 280,89 277,52 1,07
57 UNITED UTILITIES GROUP PLC ORD 5P 954 982,46 957,75 1,07
58 AVIVA PLC ORD 25P 541 523,7 503,1 1,06
59 ABERDEEN ASSET MANAGEMENT PLC ORD 10P 448,9 430,08 436,7 1,05
60 MORRISON (WM) SUPERMARKETS PLC ORD 10P 183,5 184,9 182,3 1,05
61 ROYAL BANK OF SCOTLAND GROUP PLC ORD 100P 389 377,91 380,55 1,05
62 ROYAL MAIL PLC ORD 1P 446,5 445,28 432,13 1,04
63 BP PLC $0.25 454,2 434,44 413,75 1,03
64 ROLLS-ROYCE HOLDINGS PLC ORD SHS 20P 944,5 903,66 874,54 1,03
65 SAINSBURY (J) PLC ORD 28 4/7P 266,8 261,95 247,95 1,03
66 SKY PLC ORD 50P 919 931,88 915,75 1,03
67 HARGREAVES LANSDOWN PLC ORD 0.4P 1006 987,36 979,66 1,01
68 SPORTS DIRECT INTERNATIONAL PLC ORD 10P 681,5 710,92 706,25 1,01
69 ANTOFAGASTA PLC ORD 5P 731 698,88 690,75 1
70 ASHTEAD GROUP PLC ORD 10P 1073 1088,2 1114 1
71 ASSOCIATED BRITISH FOODS PLC ORD 5 15/22P 2905 3017,2 3091 1
72 ASTRAZENECA PLC ORD SHS $0.25 4551 4599,1 4601 1
73 BABCOCK INTERNATIONAL GROUP PLC ORD 60P 1067 1034,8 1064,3 1
74 BHP BILLITON PLC ORD $0.50 1569 1469,6 1418 1
75 BRITISH AMERICAN TOBACCO PLC ORD 25P 3592 3658,8 3571,8 1
76 CAPITA PLC ORD 2.066666P 1158 1113,8 1087,5 1
77 DIAGEO PLC ORD 28 101/108P 1837 1912,4 1905 1
78 INTERTEK GROUP PLC ORD 1P 2595 2430 2379 1
79 LLOYDS BANKING GROUP PLC ORD 10P 75,35 74,53 76,49 1
80 RIO TINTO PLC ORD 10P 3151,5 2993,1 2881 1
81 ROYAL DUTCH SHELL PLC 'A' ORD EUR0.07 2149 2119,4 2084,2 1
82 ROYAL DUTCH SHELL PLC 'B' ORD EUR0.07 2236,5 2201,6 2149,8 1
83 SABMILLER PLC ORD $0.10 3457,5 3486,9 3390 1
84 SEVERN TRENT PLC ORD 97 17/19P 2019 2093,5 2056 1
85 SMITHS GROUP PLC ORD 37.5P 1186 1143,8 1101 1
86 SSE PLC ORD 50P 1568 1574,6 1568 1
87 STANDARD LIFE PLC ORD 10P 399,2 396,38 400,85 1
88 NATIONAL GRID PLC ORD 11 17/43P 890,2 914,35 907,25 0,98
89 RSA INSURANCE GROUP PLC ORD GBP1.00 444,4 447,89 445,5 0,98
90 CENTRICA PLC ORD 6 14/81P 287 286,13 279,3 0,97
91 BG GROUP PLC ORD 10P 974,8 912,2 880,55 0,96
92 HSBC HOLDINGS PLC ORD $0.50 (UK REG) 598,2 605,68 611,91 0,95
93 STANDARD CHARTERED PLC ORD USD0.50 956,4 919,18 931,25 0,92
94 ANGLO AMERICAN PLC ORD USD0.54945 1204,5 1132,8 1185 0,9
95 COCA-COLA HBC AG ORD CHF6.70 (CDI) 1164 1131 1253,5 0,9
96 GLENCORE PLC ORD USD0.01 286,6 268,73 280,95 0,9
97 WEIR GROUP PLC ORD 12.5P 1892 1782,8 1764,5 0,9
98 PETROFAC LIMITED ORD USD0.02 800 731 709,25 0,86
99 TULLOW OIL PLC ORD 10P 405 391,61 392,75 0,78






US NASDAQ 100
1 Electronic Arts Inc. 56,39 53,2425 49,995 1,3433
2 Whole Foods Market, Inc. 56,145 53,8725 51,96 1,2698
3 Dollar Tree, Inc. 76,82 72,8875 71,18 1,2284
4 Avago Technologies Limited - Ordinary Shares 110,15 105,23 99,96 1,2228
5 Cognizant Technology Solutions Corporation - Class A 60,23 56,915 55,3326 1,2095
6 Staples, Inc. 16,86 17,865 16,515 1,1968
7 Amazon.com, Inc. 381,83 352,37 334,125 1,1927
8 Tractor Supply Company 84,26 81,39 80,095 1,1893
9 O'Reilly Automotive, Inc. 205,55 199,0425 196,575 1,1891
10 Apple Inc. 127,08 119,4425 116,055 1,1851
11 NXP Semiconductors N.V. 84,79 81,4525 78,425 1,1834
12 MONSTER BEVERAGE CORPORATION 117,735 117,36 112,725 1,1674
13 Biogen Idec Inc 391,66 383,87 357,025 1,1654
14 Ross Stores, Inc. 96,18 93,8675 93,36 1,1599
15 Starbucks Corporation 91,58 87,4775 85,215 1,1554
16 Fiserv, Inc. 78,7 75,5 73,39 1,1525
17 Cerner Corporation 70,98 68,1775 65,97 1,1496
18 Liberty Global plc - Class A Ordinary Shares 52,49 49,57 49,295 1,1472
19 Texas Instruments Incorporated 57,965 55,4225 54,85 1,1471
20 Liberty Global plc - Class C Ordinary Shares 50,78 48,12 47,685 1,1457
21 Netflix, Inc. 466,1 422,0325 390,9752 1,1453
22 NVIDIA Corporation 22,31 20,9 20,72 1,1447
23 DISH Network Corporation - Class A 77,2 74,3 73,39 1,1393
24 Akamai Technologies, Inc. 68,77 63,4325 62,975 1,1376
25 Cisco Systems, Inc. 29,43 27,915 27,75 1,1346
26 Henry Schein, Inc. 143,175 139,915 137,095 1,127
27 Charter Communications, Inc. - Class A 177,88 164,99 163,7725 1,1214
28 Bed Bath & Beyond Inc. 77,91 76,5575 75,32 1,1206
29 Broadcom Corporation - Class A 45,69 43,4825 43,11 1,119
30 CATAMARAN CORPORATION 53,245 51,425 50,555 1,1183
31 American Airlines Group, Inc. 48,39 49,4725 51,075 1,1182
32 Celgene Corporation 115,88 117,765 114,145 1,1117
33 CA Inc. 32,63 31,3825 30,74 1,1097
34 Analog Devices, Inc. 57,05 54,585 54,64 1,1065
35 Costco Wholesale Corporation 147,1 149,1725 146,7 1,1
36 Activision Blizzard, Inc 23,11 21,2525 20,79 1,098
37 Illumina, Inc. 198,54 194,6278 192,71 1,0979
38 Sirius XM Holdings Inc. 3,83 3,72 3,5993 1,0926
39 EXPRESS SCRIPTS HOLDING COMPANY 84,9 82,905 82,765 1,0904
40 Check Point Software Technologies Ltd. - Ordinary Shares 80,33 78,2925 78,445 1,0897
41 Linear Technology Corporation 48,385 46,6725 46,1025 1,0882
42 Marriott International - Class A 79,395 76,1525 76,19 1,0868
43 Adobe Systems Incorporated 76,51 73,305 73,27 1,0842
44 SBA Communications Corporation 121,665 116,6875 114,615 1,0829
45 Kraft Foods Group, Inc. 64,415 65,325 63,205 1,0807
46 Lam Research Corporation 82,21 78,9602 80,3505 1,0801
47 Sigma-Aldrich Corporation 138,2 137,7625 137,025 1,0801
48 Paychex, Inc. 48,76 47,0825 46,68 1,079
49 Verisk Analytics, Inc. - Class A 67,9 65,8325 64,88 1,0783
50 Comcast Corporation - Class A 59,465 56,3325 55,98 1,0781
51 Automatic Data Processing, Inc. 88,75 85,6804 85,2308 1,0755
52 Mylan Inc. 55,85 54,4508 55,5325 1,0746
53 Comcast Corporation - Class A Special 58,965 55,9275 55,61 1,074
54 Autodesk, Inc. 60,67 57,115 57,495 1,0715
55 Expeditors International of Washington, Inc. 45,81 44,4738 44,385 1,0707
56 Western Digital Corporation 107,61 103,9174 105,115 1,0642
57 Applied Materials, Inc. 24,12 23,615 24 1,0635
58 Symantec Corporation 26,33 25,6375 25,84 1,0614
59 Vodafone Group Plc - American Depositary Shares each representing ten Ordinary Shares 35,85 35,0962 34,3074 1,0587
60 Vertex Pharmaceuticals Incorporated 113,66 112,26 115,72 1,0497
61 Regeneron Pharmaceuticals, Inc. 402,4 407,4925 410,7542 1,0492
62 Stericycle, Inc. 131,07 132,7812 131,525 1,0487
63 Equinix, Inc. 227,7 222,75 224,865 1,0477
64 Liberty Interactive Corporation - Series A Liberty Interactive 29,47 28,3475 28,4 1,0461
65 eBay Inc. 56,47 54,9838 55,24 1,0458
66 Garmin Ltd. 55,93 54,3288 53,67 1,0371
67 Intuitive Surgical, Inc. 510,73 512,4862 515,8882 1,0358
68 Intuit Inc. 90,25 88,8303 90,2955 1,0337
69 TripAdvisor, Inc. 84,81 75,6 75,455 1,0322
70 C.H. Robinson Worldwide, Inc. 72,58 71,3 72,3 1,0307
71 Amgen Inc. 153,48 153,21 160,28 1,0257
72 Alexion Pharmaceuticals, Inc. 182,29 178,575 187,19 1,0245
73 DIRECTV 87,51 86,615 85,38 1,0177
74 Mondelez International, Inc. - Class A 36,78 36,4088 37,08 1,0168
75 Altera Corporation 35,66 34,8412 35,66 1,0151
76 Seagate Technology. 61,835 60,8312 62,6425 1,0115
77 PACCAR Inc. 64,225 63,41 65,24 1,0108
78 Google Inc. - Class C Capital Stock 549,01 527,1625 518,735 1,0054
79 Yahoo! Inc. 44,42 45 46,74 0,9992
80 Google Inc. - Class A 551,16 530,255 521,725 0,9954
81 Facebook Inc. 75,74 75,5975 77,81 0,9942
82 Twenty-First Century Fox, Inc. - Class B 33,66 32,8875 34,665 0,9924
83 Gilead Sciences, Inc. 101,9 101,535 97,72 0,9916
84 Intel Corporation 34,36 34,2695 35,256 0,9889
85 Twenty-First Century Fox, Inc. - Class A 34,715 34,0825 35,905 0,9887
86 Micron Technology, Inc. 31,85 30,65 32,34 0,9879
87 Citrix Systems, Inc. 64,51 61,5475 61,605 0,9827
88 Xilinx, Inc. 41,51 40,189 42,2475 0,9781
89 QUALCOMM Incorporated 70,88 68,498 68,99 0,9676
90 The Priceline Group Inc. 1103,37 1053,7001 1080,1503 0,9669
91 Microsoft Corporation 43,87 43,2638 44,645 0,9553
92 Liberty Interactive Corporation - Series A Liberty Ventures 38,87 37,66 37,425 0,9486
93 Baidu, Inc. - American depositary shares, each representing one tenth Class A ordinary share 212,13 213,725 220,85 0,9467
94 Fastenal Company 42,5 43,7 44,705 0,9454
95 NetApp, Inc. 38,22 38,1375 39,73 0,9329
96 Liberty Media Corporation - Series C 38,07 36,3638 35,755 0,9299
97 Viacom Inc. - Class B 68,98 67,9225 70,555 0,9292
98 Liberty Media Corporation - Series A 37,97 36,3787 35,795 0,9221
99 Wynn Resorts, Limited 159,34 150,78 155,35 0,9215
100 VimpelCom Ltd. - American Depositary Shares 5,37 4,5625 4,23 0,8912
101 SanDisk Corporation 82,81 83,275 90,47 0,8888
102 Mattel, Inc. 27,615 27,535 28,205 0,8842
103 KEURIG GREEN MOUNTAIN, INC. 118,53 121,245 125,905 0,8841
104 Discovery Communications, Inc. - Series A 31,45 30,5112 32,2475 0,8762
105 KLA-Tencor Corporation 63,64 64,3025 66,665 0,8739
106 Discovery Communications, Inc. - Series C 30,32 29,4722 31,36 0,8634
107 Tesla Motors, Inc. 203,77 207,31 213,735 0,8623

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