28.02.15

The Relative Strength Concept / 9 Week

Die Märkte wollen weiter nach oben. Auch wenn die nächste Woche besonders für eine Korrektur anfällig ist (siehe Zykluschart) wird diese nur gering ausfallen.






Name Kurs IKH Senkou Span A IKH Senkou Span B RSL
DAX + MDAX+TecDAX
1 BB BIOTECH NAM.      SF 1 268,3 252,25 221,12 1,44
2 DUERR AG O.N. 95,6 89,38 82,24 1,42
3 DIALOG SEMICOND.   LS-,10 39,545 36,274 33,152 1,42
4 NEMETSCHEK AG O.N. 117,35 105,7 98,06 1,38
5 COMPUGROUP MED.AG O.N. 27,61 26,21 23,9 1,345
6 DT.ANNINGTON IMM.SE 34,475 33,278 30,27 1,321
7 XING AG 123,75 115,32 106,6 1,31
8 SARTORIUS AG VZO O.N. 124,5 117,2 111,4 1,29
9 DEUTSCHE TELEKOM AG NA 16,67 15,899 14,55 1,288
10 DEUTSCHE WOHNEN AG INH 24,635 23,825 21,555 1,286
11 DAIMLER AG NA O.N. 86,51 83,02 75,32 1,28
12 KUKA AG 69,49 66,14 61,83 1,28
13 PROSIEBENSAT.1  NA O.N. 43,895 41,872 38,58 1,277
14 KONTRON AG O.N. 6,275 5,872 5,511 1,268
15 DMG MORI SEIKI AG O.N. 29,515 29,136 24,935 1,267
16 KION GROUP AG 38,935 36,559 34,265 1,258
17 DRILLISCH AG O.N. 37,365 36,424 32,875 1,255
18 DRAEGERWERK VZO O.N. 98,28 92,6 88 1,25
19 NORDEX SE O.N. 18,705 17,582 16,292 1,248
20 WIRECARD AG 41,24 40,612 37,705 1,244
21 NORMA GROUP SE NA    O.N. 47,735 45,098 42,002 1,242
22 BAY.MOTOREN WERKE AG ST 113 107,39 98,13 1,24
23 CONTINENTAL AG O.N. 213,3 210,94 191,35 1,24
24 DEUTSCHE BOERSE NA O.N. 72,9 69,7 64,46 1,24
25 FRESEN.MED.CARE KGAA O.N. 73,17 67,94 65,47 1,24
26 VOLKSWAGEN AG VZO O.N. 225,5 215,21 200,6 1,24
27 TUI AG NA 16,18 15,696 14,878 1,24
28 DEUTSCHE EUROSHOP AG O.N. 45,625 43,702 40,288 1,234
29 TAG IMMOBILIEN AG 12,02 11,839 10,778 1,234
30 AURUBIS AG 53,89 52,12 48,2 1,23
31 JENOPTIK AG O.N. 12,335 11,994 10,664 1,228
32 OSRAM LICHT AG NA O.N. 40,98 41,322 37,555 1,222
33 HENKEL AG+CO.KGAA VZO 105,85 102,07 95,86 1,22
34 HANN.RUECK SE NA O.N. 86,15 83,18 78,64 1,22
35 LEG IMMOBILIEN AG 73,49 74,51 69,59 1,22
36 HEIDELBERGCEMENT AG O.N. 71,13 68,42 62,99 1,21
37 A.SPRINGER SE VNA 57,65 56,09 52,3 1,21
38 BRENNTAG AG 52,25 50,46 47,44 1,21
39 RHEINMETALL AG 45,29 41,455 39,092 1,21
40 FRESENIUS SE+CO.KGAA O.N. 51,18 48,99 46,252 1,209
41 GEA GROUP AG 44,2 42,11 39,042 1,209
42 MERCK KGAA O.N. 92,2 89,14 83,76 1,2
43 BERTRANDT AG O.N. 130,3 128,11 121,98 1,2
44 SYMRISE AG INH. O.N. 56,84 55,95 53,51 1,2
45 K+S AG NA O.N. 28,825 28,259 25,535 1,198
46 INFINEON TECH.AG NA O.N. 10,345 10,04 9,264 1,197
47 LEONI AG NA O.N. 57,57 55,25 51,3 1,19
48 MTU AERO ENGINES NA O.N. 84,98 81,62 75,58 1,19
49 RIB SOFTWARE AG NA 13,27 12,914 12,038 1,189
50 SOFTWARE AG O.N. 24,795 23,794 22,26 1,188
51 AAREAL BANK AG 40,1 37,006 35,62 1,183
52 AIRBUS GROUP N.V. 55,33 51,93 47,69 1,18
53 QIAGEN NV         EO -,01 22,475 21,294 20,202 1,178
54 FREENET AG NA 26,665 26,195 24,495 1,174
55 LINDE AG O.N. 181,8 175,32 162,62 1,17
56 HOCHTIEF AG 70,12 68,5 63,48 1,17
57 MANZ AG 77 69,44 63,98 1,17
58 DEUTSCHE POST AG NA O.N. 30,43 29,214 27,948 1,165
59 ADIDAS AG NA O.N. 69,43 65,52 61,53 1,16
60 BASF SE NA O.N. 85,65 82,4 76,26 1,16
61 BAYER AG  NA 132,05 127,64 120,3 1,16
62 FIELMANN AG O.N. 61,89 59,65 58,29 1,16
63 JUNGHEINRICH AG O.N.VZO 56,45 55,24 53,42 1,16
64 RTL GROUP 88,5 86,74 82,38 1,16
65 ELRINGKLINGER AG NA O.N. 31,1 30,978 29,108 1,158
66 MUENCH RUECKVERS.VNA O.N. 185,5 180,9 169,88 1,15
67 UTD.INTERNET AG NA 40,075 39,466 38,002 1,142
68 FUCHS PETROL.SE VZO O.N. 37,285 38,029 35,902 1,136
69 THYSSENKRUPP AG O.N. 23,79 23,045 21,532 1,135
70 DEUTSCHE BANK AG NA O.N. 29,375 27,93 26,322 1,134
71 KRONES AG O.N. 86,2 83,84 81,14 1,13
72 METRO AG ST O.N. 29,915 29,592 26,778 1,13
73 BECHTLE AG O.N. 72,57 71,41 67,97 1,13
74 EVOTEC AG O.N. 3,848 3,83 3,7 1,128
75 EVONIK INDUSTRIES AG 30,455 29,091 27,88 1,124
76 BEIERSDORF AG O.N. 77,63 76,07 72,26 1,12
77 SUEDZUCKER AG  O.N. 13,625 12,761 11,872 1,116
78 ALLIANZ SE VNA O.N. 149,6 147,02 140,4 1,11
79 KABEL DT. HOLDING AG O.N. 124 121,9 117,38 1,11
80 TALANX AG NA O.N. 28,685 27,711 26,275 1,104
81 LANXESS AG 46,035 43,772 39,995 1,102
82 SAP SE O.N. 62,84 60,48 57,96 1,1
83 HUGO BOSS AG  NA O.N. 115 112,5 108,64 1,1
84 WINCOR NIXDORF O.N. 43,21 41,584 39,81 1,095
85 TELEFONICA DTLD HLDG AG 4,916 4,832 4,633 1,095
86 CARL ZEISS MEDITEC AG 24,565 24,241 22,632 1,094
87 WACKER CHEMIE        O.N. 101,7 99,07 92,81 1,09
88 CANCOM SE O.N. 36,58 37,58 35,795 1,089
89 BILFINGER SE O.N. 53,19 52,26 48,92 1,08
90 SIEMENS AG NA 99,82 97,54 95,63 1,07
91 GERRESHEIMER AG 51,47 50,24 47,1 1,07
92 PFEIFFER VACUUM TECH.O.N. 74,07 77,14 74,34 1,07
93 FRAPORT AG FFM.AIRPORT 53,96 53,89 50,96 1,06
94 LPKF LASER+ELECTRON. 12,25 11,53 10,996 1,052
95 E.ON SE NA 14,445 13,705 13,615 1,05
96 COMMERZBANK AG 12,055 11,592 11,28 1,046
97 CELESIO AG NAM. O.N. 27,595 27,075 26,762 1,044
98 GERRY WEBER INTERNAT.O.N. 33,955 34,88 33,205 1,041
99 MAN SE ST O.N. 95,8 95,2 93,41 1,04
100 STRATEC BIOMEDICAL EO 1 45,195 44,008 45,022 1,034
101 STADA ARZNEIMITT.VNA O.N. 29,35 28,081 26,855 1,017
102 RHOEN-KLINIKUM O.N. 23,47 22,775 22,875 1,008
103 SALZGITTER AG O.N. 25,525 25,896 24,448 1,008
104 MORPHOSYS AG O.N. 74,48 75,49 79,39 0,99
105 LUFTHANSA AG VNA O.N. 13,1 13,86 14,252 0,981
106 QSC AG NA O.N. 1,809 1,87 1,728 0,974
107 KLOECKNER + CO SE NA 9,294 9,805 9,318 0,967
108 RWE AG ST O.N. 24,985 24,07 25,12 0,918
109 AIXTRON SE NA O.N. 7,164 7,267 8,028 0,778
110 SMA SOLAR TECHNOL.AG 11,97 12,581 13,008 0,669






GB FTSE 100
1 INTERNATIONAL CONSOLIDATED AIRLINES GROUP S.A. ORD EUR0.50 (CDI) 580 562,53 518,6 1,32
2 ST. JAMES'S PLACE PLC ORD 15P 948 907,5 848,25 1,23
3 ARM HOLDINGS PLC ORD 0.05P 1159 1101,2 1034,8 1,2
4 BURBERRY GROUP PLC ORD 0.05P 1872 1856,6 1743 1,2
5 CRH PLC ORD EUR 0.32 1830 1783,8 1637,3 1,2
6 LONDON STOCK EXCHANGE GROUP PLC ORD SHS 6 79/86P 2480 2444,2 2299 1,2
7 MONDI PLC ORD EUR 0.20 1330 1268 1168,2 1,2
8 PEARSON PLC ORD 25P 1420 1385,5 1278 1,2
9 PERSIMMON PLC ORD 10P 1764 1668,8 1600 1,2
10 SCHRODERS PLC VTG SHS ú1 3075 2974,8 2787,5 1,2
11 TESCO PLC ORD 5P 245,4 238,22 204,85 1,2
12 WHITBREAD PLC ORD 76 122/153P 5255 5082 4847 1,2
13 WPP PLC ORD 10P 1535 1488 1409,5 1,2
14 3I GROUP PLC ORD 73 19/22P 493,6 478,09 455,2 1,18
15 FRIENDS LIFE GROUP LIMITED ORD NPV 411,1 411,2 382,85 1,18
16 SAGE GROUP PLC ORD 1 4/77P 484,5 476 458 1,16
17 BT GROUP PLC ORD 5P 455,7 441,16 425,38 1,15
18 KINGFISHER PLC ORD 15 5/7P 365,4 351,2 340,4 1,15
19 OLD MUTUAL PLC ORD 11 3/7P 225,1 217,58 200,7 1,15
20 LEGAL & GENERAL GROUP PLC ORD 2 1/2P 279,5 272,55 255,5 1,14
21 BAE SYSTEMS PLC ORD 2.5P 532 520,65 488,5 1,13
22 DIRECT LINE INSURANCE GROUP PLC ORD 10P 327,4 322,16 304,9 1,11
23 G4S PLC ORD 25P 298 289,67 283,25 1,11
24 MARKS AND SPENCER GROUP PLC ORD 25P 504,5 492,83 473,55 1,11
25 MEGGITT PLC ORD 5P 545 553,44 525,5 1,11
26 MORRISON (WM) SUPERMARKETS PLC ORD 10P 195,7 189,71 182,3 1,11
27 SKY PLC ORD 50P 996,5 970,78 942,83 1,11
28 ADMIRAL GROUP PLC ORD 0.1P 1475 1461,8 1359,3 1,1
29 AGGREKO PLC ORD 4 329/395P 1708 1649,4 1556,6 1,1
30 ASHTEAD GROUP PLC ORD 10P 1190 1126,2 1114 1,1
31 ASSOCIATED BRITISH FOODS PLC ORD 5 15/22P 3125 3023,6 3061,5 1,1
32 BRITISH AMERICAN TOBACCO PLC ORD 25P 3782 3692,9 3571,8 1,1
33 BRITISH LAND COMPANY PLC ORD 25P 828,5 824,92 787,25 1,1
34 BUNZL PLC ORD 32 1/7P 1896 1913,9 1824,5 1,1
35 CAPITA PLC ORD 2.066666P 1188 1163,8 1113,5 1,1
36 CARNIVAL PLC ORD USD 1.66 2922 2953,2 2924,5 1,1
37 COMPASS GROUP PLC ORD 10 5/8P 1152 1135 1105,5 1,1
38 EASYJET PLC ORD 27 2/7P 1732 1782,8 1750,5 1,1
39 EXPERIAN PLC ORD USD0.10 1198 1188,2 1111,5 1,1
40 GLAXOSMITHKLINE PLC ORD 25P 1541,5 1523,9 1438,8 1,1
41 HARGREAVES LANSDOWN PLC ORD 0.4P 1130 1053,1 1020,5 1,1
42 IMI PLC ORD 28 4/7P 1381 1378,1 1302,3 1,1
43 IMPERIAL TOBACCO GROUP PLC ORD 10P 3193 3123,5 2973,8 1,1
44 INTERCONTINENTAL HOTELS GROUP PLC ORD 15 265/329P 2650 2591,8 2583 1,1
45 JOHNSON MATTHEY PLC ORD 104 16/21P 3409 3418,2 3377,5 1,1
46 LAND SECURITIES GROUP PLC ORD 10P 1256 1251,8 1212 1,1
47 NEXT PLC ORD 10P 7495 7310 6917,5 1,1
48 PRUDENTIAL PLC ORD 5P 1629,5 1610 1529,8 1,1
49 RANDGOLD RESOURCES LD ORD $0.05 5180 5219,7 4842,1 1,1
50 RECKITT BENCKISER GROUP PLC ORD 10P 5860 5685 5390 1,1
51 REED ELSEVIER PLC ORD 14 51/116P 1118 1151 1118 1,1
52 RIO TINTO PLC ORD 10P 3192 3113,2 2940 1,1
53 SABMILLER PLC ORD $0.10 3675 3605,6 3438,6 1,1
54 SHIRE PLC ORD 5P 5275 5073,5 4854 1,1
55 SMITH & NEPHEW PLC ORD USD0.20 1186 1176,2 1111,5 1,1
56 TRAVIS PERKINS PLC ORD 10P 2016 1983,3 1883 1,1
57 UNILEVER PLC ORD 3 1/9P 2866 2837,7 2732,5 1,1
58 WOLSELEY PLC ORD 10 53/66P 3971 3911,2 3773,5 1,1
59 ABERDEEN ASSET MANAGEMENT PLC ORD 10P 468,6 457,8 435,75 1,09
60 BARCLAYS PLC ORD 25P 256,9 256,94 244,74 1,09
61 HAMMERSON PLC ORD 25P 675,5 677,62 643,5 1,09
62 DIXONS CARPHONE PLC ORD 0.1P 440,6 432,02 437,83 1,08
63 GKN PLC ORD 10P 365,2 374,39 355 1,07
64 ANTOFAGASTA PLC ORD 5P 767 735,25 703 1,06
65 ITV PLC ORD 10P 225,3 228,35 217,65 1,06
66 SAINSBURY (J) PLC ORD 28 4/7P 271,9 268,32 250,5 1,06
67 STANDARD LIFE PLC ORD 10P 425,8 411,77 400,25 1,06
68 UNITED UTILITIES GROUP PLC ORD 5P 946 965,09 969,5 1,06
69 AVIVA PLC ORD 25P 539 540,99 505,47 1,05
70 ROLLS-ROYCE HOLDINGS PLC ORD SHS 20P 949 928,4 888,5 1,05
71 LLOYDS BANKING GROUP PLC ORD 10P 79 77,09 76,01 1,04
72 VODAFONE GROUP PLC ORD USD0.20 20/21 224,4 231,65 227,95 1,04
73 FRESNILLO PLC ORD USD0.50 821 843 814,25 1,03
74 INTU PROPERTIES PLC ORD 50P 353,5 364,77 348,4 1,03
75 BP PLC $0.25 448,05 445,95 413,75 1,02
76 SPORTS DIRECT INTERNATIONAL PLC ORD 10P 690 684,73 707 1,02
77 ASTRAZENECA PLC ORD SHS $0.25 4469,5 4526,7 4575,2 1
78 BHP BILLITON PLC ORD $0.50 1616,5 1563,1 1459 1
79 DIAGEO PLC ORD 28 101/108P 1935,5 1917,4 1905 1
80 INTERTEK GROUP PLC ORD 1P 2530 2452,8 2379 1
81 ROYAL DUTCH SHELL PLC 'A' ORD EUR0.07 2118 2124,6 2084,2 1
82 ROYAL DUTCH SHELL PLC 'B' ORD EUR0.07 2205,5 2215,6 2149,8 1
83 SEVERN TRENT PLC ORD 97 17/19P 2031 2064,8 2056 1
84 SMITHS GROUP PLC ORD 37.5P 1155 1158,8 1104,6 1
85 SSE PLC ORD 50P 1573 1557 1551 1
86 ROYAL BANK OF SCOTLAND GROUP PLC ORD 100P 367,2 388,8 385,6 0,99
87 NATIONAL GRID PLC ORD 11 17/43P 886,6 900,2 907,25 0,98
88 ROYAL MAIL PLC ORD 1P 420,4 445,01 432,13 0,98
89 PETROFAC LIMITED ORD USD0.02 879,5 816,12 757 0,97
90 STANDARD CHARTERED PLC ORD USD0.50 991 958,52 947,5 0,97
91 GLENCORE PLC ORD USD0.01 300,25 284,06 271,6 0,96
92 BG GROUP PLC ORD 10P 958 944,68 887,55 0,95
93 RSA INSURANCE GROUP PLC ORD GBP1.00 428,9 442,65 444,8 0,94
94 HSBC HOLDINGS PLC ORD $0.50 (UK REG) 577,3 593 598 0,92
95 ANGLO AMERICAN PLC ORD USD0.54945 1210 1201,2 1153,3 0,9
96 BABCOCK INTERNATIONAL GROUP PLC ORD 60P 1010 1030,2 1032,3 0,9
97 COCA-COLA HBC AG ORD CHF6.70 (CDI) 1162 1140,8 1162,5 0,9
98 CENTRICA PLC ORD 6 14/81P 244,3 267,17 271,5 0,84
99 WEIR GROUP PLC ORD 12.5P 1704 1784,2 1764,5 0,8
100 TULLOW OIL PLC ORD 10P 387,3 395,05 392,75 0,78
US NASDAQ 100
1 Avago Technologies Limited - Ordinary Shares 127,62 117,0075 112,535 1,3716
2 MONSTER BEVERAGE CORPORATION 141,12 129,7614 124,1875 1,3494
3 Electronic Arts Inc. 57,18 55,4 51,705 1,3151
4 Dollar Tree, Inc. 79,68 76,4225 73,025 1,2441
5 Ross Stores, Inc. 105,81 99,3875 97,69 1,2429
6 Whole Foods Market, Inc. 56,49 55,6025 52,36 1,2429
7 Cognizant Technology Solutions Corporation - Class A 62,485 59,83 56,66 1,2278
8 Tractor Supply Company 88,12 85,3455 82,505 1,2144
9 Biogen Idec Inc 409,59 389,6175 367,185 1,1998
10 O'Reilly Automotive, Inc. 208,13 202,9845 196,575 1,1787
11 Apple Inc. 128,46 125,71 119,115 1,1732
12 Amazon.com, Inc. 380,16 362,685 337,31 1,1724
13 Starbucks Corporation 93,485 90,4525 86,635 1,1635
14 Liberty Global plc - Class A Ordinary Shares 54,06 51,9175 50,31 1,1621
15 Staples, Inc. 16,765 17,2 17,6 1,1608
16 Netflix, Inc. 474,91 459,852 401,0198 1,1604
17 NXP Semiconductors N.V. 84,895 83,03 78,425 1,1603
18 Liberty Global plc - Class C Ordinary Shares 52,17 50,1275 48,565 1,1576
19 Cerner Corporation 72,06 70,1775 66,97 1,147
20 Texas Instruments Incorporated 58,8 57,235 55,605 1,1453
21 Celgene Corporation 121,53 119,795 114,57 1,1407
22 Akamai Technologies, Inc. 69,51 67,1275 64,34 1,134
23 Verisk Analytics, Inc. - Class A 71,81 69,9925 68,2338 1,1301
24 Charter Communications, Inc. - Class A 180,6 172,115 166,355 1,1273
25 Autodesk, Inc. 64,24 60,83 59,01 1,1248
26 Cisco Systems, Inc. 29,51 28,7325 27,955 1,1246
27 Fiserv, Inc. 78,07 77,2175 73,8 1,1243
28 Analog Devices, Inc. 58,54 56,75 55,47 1,1223
29 Marriott International - Class A 83,1 80,2665 78,769 1,1202
30 Expeditors International of Washington, Inc. 48,3 46,6225 45,495 1,119
31 NVIDIA Corporation 22,06 21,4725 20,72 1,1171
32 Check Point Software Technologies Ltd. - Ordinary Shares 83,49 81,1825 79,95 1,1163
33 Adobe Systems Incorporated 79,1 76,4875 74,64 1,1112
34 Intuit Inc. 97,63 92,7525 91,4205 1,1071
35 Activision Blizzard, Inc 23,32 22,58 21,04 1,1057
36 SBA Communications Corporation 124,71 119,8812 116,265 1,1015
37 Sirius XM Holdings Inc. 3,89 3,79 3,5993 1,1
38 CA Inc. 32,52 32,0425 31,07 1,0954
39 Broadcom Corporation - Class A 45,23 44,09 43,11 1,094
40 TripAdvisor, Inc. 89,25 82,715 78,22 1,0925
41 DISH Network Corporation - Class A 75,04 75,98 74,125 1,0922
42 Applied Materials, Inc. 25,05 24,33 24 1,0921
43 The Priceline Group Inc. 1237,48 1158,0312 1127,3453 1,0899
44 Paychex, Inc. 49,835 48,2715 47,354 1,0893
45 Mylan Inc. 57,325 56,02 55,29 1,0883
46 Henry Schein, Inc. 140,05 140,5775 137,095 1,0881
47 American Airlines Group, Inc. 47,9 50,55 51,075 1,0868
48 Costco Wholesale Corporation 146,96 147,575 146,7 1,0835
49 Vertex Pharmaceuticals Incorporated 119,43 116,155 115,72 1,0831
50 Linear Technology Corporation 48,185 47,39 46,23 1,077
51 EXPRESS SCRIPTS HOLDING COMPANY 84,79 85,19 83,86 1,0759
52 Stericycle, Inc. 134,97 133,075 131,525 1,0704
53 Automatic Data Processing, Inc. 88,84 86,9142 85,7058 1,0702
54 Lam Research Corporation 82,46 81,2752 79,7455 1,0701
55 Comcast Corporation - Class A 59,38 57,4375 56,17 1,0699
56 Comcast Corporation - Class A Special 58,945 57,1075 55,8725 1,0672
57 eBay Inc. 57,91 56,5175 55,7 1,0667
58 Illumina, Inc. 195,46 199,0236 192,71 1,0667
59 Kraft Foods Group, Inc. 64,06 64,7975 63,205 1,0645
60 Regeneron Pharmaceuticals, Inc. 413,84 414,5675 408,165 1,0643
61 Bed Bath & Beyond Inc. 74,66 75,775 75,495 1,0597
62 Sigma-Aldrich Corporation 138,06 138,1725 137,345 1,0588
63 Western Digital Corporation 106,98 106,0875 105,115 1,0527
64 C.H. Robinson Worldwide, Inc. 74,3 71,9525 72,3 1,0495
65 Altera Corporation 37,01 35,5675 35,66 1,0471
66 Liberty Interactive Corporation - Series A Liberty Interactive 29,53 28,8025 28,4 1,0445
67 Amgen Inc. 157,72 155,325 159,575 1,0403
68 CATAMARAN CORPORATION 49,95 51,9175 51,09 1,0377
69 Liberty Interactive Corporation - Series A Liberty Ventures 40,18 39,2925 38,15 1,0322
70 Facebook Inc. 78,97 77,8175 77,81 1,0317
71 DIRECTV 88,6 87,1375 85,62 1,0278
72 Equinix, Inc. 224,175 228,0875 226,35 1,026
73 Google Inc. - Class C Capital Stock 558,4 539,7175 526,135 1,0257
74 Google Inc. - Class A 562,63 543,33 530,165 1,0199
75 Mondelez International, Inc. - Class A 36,935 36,5775 36,445 1,0188
76 Vodafone Group Plc - American Depositary Shares each representing ten Ordinary Shares 34,56 35,2512 34,3074 1,0159
77 Symantec Corporation 25,16 25,7228 25,84 1,0102
78 Intuitive Surgical, Inc. 500 508,3938 515,8882 1,0058
79 Alexion Pharmaceuticals, Inc. 180,37 181,7912 181,52 1,0054
80 PACCAR Inc. 64,05 63,34 64,8 1,0052
81 Twenty-First Century Fox, Inc. - Class B 34,04 33,52 34,665 1,0017
82 Gilead Sciences, Inc. 103,53 102,7275 97,72 1,0006
83 Xilinx, Inc. 42,37 40,8312 41,5875 0,9973
84 Seagate Technology. 61,12 60,5762 62,6425 0,9958
85 Twenty-First Century Fox, Inc. - Class A 35 34,5325 35,905 0,9946
86 QUALCOMM Incorporated 72,51 69,46 68,99 0,992
87 Yahoo! Inc. 44,28 44,9475 46,74 0,9842
88 Citrix Systems, Inc. 63,675 62,7462 61,0825 0,9746
89 Liberty Media Corporation - Series C 38,6 37,5775 36,215 0,9555
90 Intel Corporation 33,25 34,4005 35,1769 0,9554
91 Microsoft Corporation 43,85 43,7425 44,515 0,9543
92 Viacom Inc. - Class B 69,94 68,355 70,5 0,9516
93 Micron Technology, Inc. 30,67 30,64 31,915 0,9502
94 Liberty Media Corporation - Series A 38,565 37,5538 36,24 0,9491
95 KEURIG GREEN MOUNTAIN, INC. 127,58 122,6575 124,85 0,9483
96 NetApp, Inc. 38,65 38,025 39,67 0,9448
97 VimpelCom Ltd. - American Depositary Shares 5,48 4,7375 4,285 0,9414
98 Fastenal Company 41,55 43,1638 44,705 0,927
99 Garmin Ltd. 49,63 52,805 52,875 0,9257
100 Discovery Communications, Inc. - Series A 32,3 31,45 32,2475 0,9174
101 Baidu, Inc. - American depositary shares, each representing one tenth Class A ordinary share 203,75 212,6775 218,565 0,912
102 KLA-Tencor Corporation 64,955 65,375 66,665 0,898
103 Discovery Communications, Inc. - Series C 30,51 30,0688 31,3 0,8865
104 Tesla Motors, Inc. 203,34 209,615 206,75 0,8715
105 SanDisk Corporation 79,93 79,7044 88,085 0,8651
106 Mattel, Inc. 26,32 26,4925 28,1275 0,8598
107 Wynn Resorts, Limited 142,5 150,595 146,995 0,8407

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