02.04.16

The Relative Strength Concept / 13 Week 2016 (GB FTSE 100 and US Nasdaq 100)



Name Kurs IKH Senkou Span A IKH Senkou Span B RSL
GB FTSE 100
1 GLENCORE PLC ORD USD0.01 149,75 150,19 125,05 1,41
2 RANDGOLD RESOURCES LD ORD $0.05 6255 6421,2 5490,5 1,3
3 ANGLO AMERICAN PLC ORD USD0.54945 538,4 515,88 422,92 1,21
4 FRESNILLO PLC ORD USD0.50 924,5 956,37 828,75 1,21
5 ADMIRAL GROUP PLC ORD 0.1P 1954 1899,8 1802,5 1,2
6 INTERTEK GROUP PLC ORD 1P 3170 3078,8 2885,5 1,2
7 RSA INSURANCE GROUP PLC ORD GBP1.00 476,7 454 426,1 1,13
8 MERLIN ENTERTAINMENTS PLC ORD 1P 465,4 452,77 424,35 1,11
9 SAGE GROUP PLC ORD 1 4/77P 631,5 606,25 587,75 1,11
10 BRITISH AMERICAN TOBACCO PLC ORD 25P 4083,5 3991,2 3846,5 1,1
11 BUNZL PLC ORD 32 1/7P 2010 1980,2 1880,5 1,1
12 CARNIVAL PLC ORD USD 1.66 3791 3577,8 3356,5 1,1
13 COMPASS GROUP PLC ORD 10 5/8P 1238 1233,8 1188,5 1,1
14 CRH PLC ORD EUR 0.32 1981 1913,8 1791 1,1
15 DCC PLC ORD EUR0.25 6130 5953,8 5432 1,1
16 EXPERIAN PLC ORD USD0.10 1251 1209,9 1159,1 1,1
17 IMPERIAL BRANDS PLC ORD 10P 3836 3791 3662,5 1,1
18 INTERCONTINENTAL HOTELS GROUP PLC ORD 15 265/329P 2866 2732,2 2520,4 1,1
19 KINGFISHER PLC ORD 15 5/7P 378,6 357,85 346,7 1,1
20 LONDON STOCK EXCHANGE GROUP PLC ORD SHS 6 79/86P 2827 2784,8 2521,5 1,1
21 PERSIMMON PLC ORD 10P 2108 2097,5 2046 1,1
22 RECKITT BENCKISER GROUP PLC ORD 10P 6705 6617 6319,5 1,1
23 RELX PLC ORD 14 51/116P 1299 1265,8 1213 1,1
24 ROYAL DUTCH SHELL PLC 'B' ORD EUR0.07 1683,5 1668,4 1509 1,1
25 SMITHS GROUP PLC ORD 37.5P 1062 1062,7 992,5 1,1
26 UNILEVER PLC ORD 3 1/9P 3165 3125,2 3013,8 1,1
27 WOLSELEY PLC ORD 10 53/66P 3980 3823,8 3604,5 1,1
28 WPP PLC ORD 10P 1627 1572,4 1482,5 1,1
29 REXAM PLC ORD 80 5/14P 634,5 622,67 608,5 1,09
30 TESCO PLC ORD 5P 190 190,81 176,17 1,09
31 ROLLS-ROYCE HOLDINGS PLC ORD SHS 20P 662,5 688,32 617,5 1,06
32 NATIONAL GRID PLC ORD 11 17/43P 979,3 974,25 952,15 1,05
33 BAE SYSTEMS PLC ORD 2.5P 501,5 503,69 487,7 1,04
34 CENTRICA PLC ORD 6 14/81P 224,9 222,35 207,3 1,04
35 ROYAL MAIL PLC ORD 1P 471,9 469,69 450,79 1,04
36 OLD MUTUAL PLC ORD 11 3/7P 191,4 187,83 174,29 1,03
37 VODAFONE GROUP PLC ORD USD0.20 20/21 220,2 218,03 215,4 1,02
38 GKN PLC ORD 10P 286 282,18 271,15 1,01
39 TAYLOR WIMPEY PLC ORD 1P 191,2 185,63 180,9 1,01
40 ARM HOLDINGS PLC ORD 0.05P 1026 997,3 931 1
41 ASSOCIATED BRITISH FOODS PLC ORD 5 15/22P 3344 3364,5 3187 1
42 BABCOCK INTERNATIONAL GROUP PLC ORD 60P 952,5 935,12 902,5 1
43 BERKELEY GROUP HOLDINGS (THE) PLC ORD SHS 5P 3198 3187,5 3260,5 1
44 BURBERRY GROUP PLC ORD 0.05P 1327 1330,9 1277,5 1
45 COCA-COLA HBC AG ORD CHF6.70 (CDI) 1452 1440,5 1380 1
46 DIAGEO PLC ORD 28 101/108P 1886,5 1872,8 1822,2 1
47 GLAXOSMITHKLINE PLC ORD 25P 1414,5 1398,5 1389,4 1
48 HARGREAVES LANSDOWN PLC ORD 0.4P 1339 1300 1237 1
49 HIKMA PHARMACEUTICALS PLC ORD SHS 10P 1997 1847,3 1872 1
50 INTU PROPERTIES PLC ORD 50P 311,7 308,02 296,55 1
51 JOHNSON MATTHEY PLC ORD 110 49/53P 2720 2615,4 2485,5 1
52 MONDI PLC ORD EUR 0.20 1348 1334,8 1256,5 1
53 ROYAL DUTCH SHELL PLC 'A' ORD EUR0.07 1668 1663,2 1503,1 1
54 SABMILLER PLC ORD $0.10 4243 4227,5 4182,8 1
55 SEVERN TRENT PLC ORD 97 17/19P 2143 2133,5 2123,5 1
56 SHIRE PLC ORD 5P 4082 3804,1 3876,5 1
57 SKY PLC ORD 50P 1011 1022,6 1043,8 1
58 SMITH & NEPHEW PLC ORD USD0.20 1166 1140,7 1115,2 1
59 SSE PLC ORD 50P 1485 1456,5 1413,5 1
60 TRAVIS PERKINS PLC ORD 10P 1809 1795,2 1771,5 1
61 3I GROUP PLC ORD 73 19/22P 454,5 445,96 425,56 0,99
62 PEARSON PLC ORD 25P 848,5 857,12 779 0,99
63 ST. JAMES'S PLACE PLC ORD 15P 908 909,38 879,75 0,99
64 HAMMERSON PLC ORD 25P 577,5 564,62 560,25 0,98
65 INMARSAT PLC ORD EUR0.0005 991 948,25 1000,88 0,97
66 INTERNATIONAL CONSOLIDATED AIRLINES GROUP S.A. ORD EUR0.50 (CDI) 552 547,15 519,42 0,97
67 LLOYDS BANKING GROUP PLC ORD 10P 67,95 68,51 64,87 0,97
68 BP PLC $0.25 343,8 351,11 345,45 0,96
69 UNITED UTILITIES GROUP PLC ORD 5P 901 915,17 927,25 0,96
70 ANTOFAGASTA PLC ORD 5P 453,9 507,78 467,55 0,95
71 AVIVA PLC ORD 25P 448,9 462,12 449,95 0,95
72 BARRATT DEVELOPMENTS PLC ORD 10P 566 569 577,75 0,95
73 BT GROUP PLC ORD 5P 438,6 454,18 467,62 0,95
74 DIRECT LINE INSURANCE GROUP PLC ORD 10 10/11P 364,1 378,7 379,65 0,95
75 ITV PLC ORD 10P 242,6 241,58 250,1 0,95
76 DIXONS CARPHONE PLC ORD 0.1P 424,8 430,65 446,3 0,94
77 LEGAL & GENERAL GROUP PLC ORD 2 1/2P 231,1 232,85 223,68 0,94
78 ABERDEEN ASSET MANAGEMENT PLC ORD 10P 269,9 267,47 252,9 0,93
79 STANDARD LIFE PLC ORD 12 2/9P 351,5 352,89 344,6 0,93
80 BHP BILLITON PLC ORD $0.50 772,4 795,6 739,15 0,92
81 ASTRAZENECA PLC ORD SHS $0.25 3932,5 3957,6 4171,6 0,9
82 BRITISH LAND COMPANY PLC ORD 25P 695,5 688,19 695,89 0,9
83 CAPITA PLC ORD 2.066666P 1050 1046 1092,5 0,9
84 EASYJET PLC ORD 27 2/7P 1528 1496,5 1541,5 0,9
85 LAND SECURITIES GROUP PLC ORD 10P 1090 1058,5 1034,5 0,9
86 PROVIDENT FINANCIAL PLC ORD  20 8/11P 2966 3051,2 3052,3 0,9
87 PRUDENTIAL PLC ORD 5P 1279 1307,8 1248,5 0,9
88 RIO TINTO PLC ORD 10P 1943 1992,2 1909,5 0,9
89 SCHRODERS PLC VTG SHS ú1 2624 2667 2578 0,9
90 TUI AG ORD REG SHS NPV (DI) 1081 1029,8 1098,2 0,9
91 WHITBREAD PLC ORD 76 122/153P 3928 3891,8 3874,5 0,9
92 ASHTEAD GROUP PLC ORD 10P 857,5 848,88 873 0,89
93 MARKS AND SPENCER GROUP PLC ORD 25P 407,3 409,84 417,01 0,89
94 HSBC HOLDINGS PLC ORD $0.50 (UK REG) 432 446,43 458,55 0,88
95 STANDARD CHARTERED PLC ORD USD0.50 453,85 455,09 439,45 0,83
96 NEXT PLC ORD 10P 5445 6059,5 6211,6 0,8
97 ROYAL BANK OF SCOTLAND GROUP PLC ORD 100P 218,5 229,29 242,24 0,78
98 BARCLAYS PLC ORD 25P 150 158,04 170,08 0,73
99 SPORTS DIRECT INTERNATIONAL PLC ORD 10P 370,9 392,59 392,59 0,67
 




 




US NASDAQ 100
1 Mattel, Inc. 34,26 33,1512 29,13 1,2627
2 Applied Materials, Inc. 21,42 20,2825 18,43 1,2154
3 NVIDIA Corporation 36,15 34,1725 30,5 1,2089
4 BROADCOM LIMITED 157,8 148,84 136,085 1,1939
5 Fastenal Company 48,93 47,8925 42,585 1,1898
6 Intuitive Surgical, Inc. 606,5 584,4425 554,88 1,148
7 Yahoo! Inc. 36,48 34,6825 31,715 1,1328
8 Lam Research Corporation 82,93 78,6625 73,305 1,1289
9 Dollar Tree, Inc. 83,31 80,225 78,12 1,1265
10 Henry Schein, Inc. 172,9 169,3025 158,145 1,1227
11 Facebook Inc. 116,06 112,3525 103,48 1,1226
12 Ulta Salon, Cosmetics & Fragrance, Inc. 194,18 184,7203 171,1878 1,1214
13 Charter Communications, Inc. - Class A 203,47 196,3475 180,93 1,1141
14 PAYPAL HOLDINGS INC 39,4 39,17 36,135 1,1086
15 Tesla Motors, Inc. 237,59 221,5 194,475 1,108
16 Ross Stores, Inc. 58,64 57,6475 55,05 1,1065
17 Fiserv, Inc. 103,37 100,4 94,93 1,1007
18 CA Inc. 30,99 30,525 28,225 1,0937
19 Intuit Inc. 104,69 101,0875 96,475 1,09
20 Baidu, Inc. - American depositary shares, each representing one tenth Class A ordinary share 190,33 181,1225 166,67 1,0891
21 Adobe Systems Incorporated 95,16 91,9725 84,635 1,0816
22 O'Reilly Automotive, Inc. 277,82 270,155 252,17 1,0785
23 Cisco Systems, Inc. 28,69 27,785 25,58 1,0775
24 Verisk Analytics, Inc. 80,19 77,295 72,615 1,0765
25 Citrix Systems, Inc. 79,54 75,9645 70,265 1,0751
26 Texas Instruments Incorporated 57,94 56,375 53,0875 1,0723
27 Microsoft Corporation 55,57 53,6975 51,915 1,0694
28 Automatic Data Processing, Inc. 90,26 88,2175 83,635 1,0661
29 KRAFT HEINZ CO 79,08 76,8771 73,95 1,0655
30 PACCAR Inc. 54,21 53,38 49,53 1,0641
31 Check Point Software Technologies Ltd. - Ordinary Shares 86,77 85,0033 79,81 1,0635
32 Paychex, Inc. 54,17 53,2075 50,165 1,0614
33 Autodesk, Inc. 57,77 55,6925 50,47 1,0578
34 Tractor Supply Company 91,81 89,065 85,01 1,0565
35 Alphabet Inc. Class C Capital Stock 749,91 732,465 726,465 1,0554
36 Comcast Corporation - Class A 61,87 60,0825 57,165 1,0535
37 Alphabet Inc. Class A Common Stock 769,67 751,7275 746,18 1,051
38 Analog Devices, Inc. 58,98 57 53,81 1,0506
39 Linear Technology Corporation 45 43,905 42,1 1,0491
40 Walgreens Boots Alliance, Inc. 86,7 83,4325 79,17 1,0486
41 Liberty Media Corporation - Series C 38,31 36,655 34,695 1,0462
42 Skyworks Solutions, Inc. 78,18 73,195 66,395 1,0431
43 Ctrip.com International, Ltd. - American Depositary Shares 44,84 43,1 40,54 1,0406
44 Twenty-First Century Fox, Inc. - Class B 29,12 28,2475 25,91 1,0385
45 Discovery Communications, Inc. - Series A 28,9 27,8375 26,745 1,0382
46 Stericycle, Inc. 127,63 122,3237 116,325 1,0358
47 Discovery Communications, Inc. - Series C 27,48 26,5275 25,6875 1,0333
48 The Priceline Group Inc. 1299,7 1307,01 1157,825 1,031
49 Twenty-First Century Fox, Inc. - Class A 28,59 27,9612 25,69 1,0284
50 Cognizant Technology Solutions Corporation - Class A 63,12 59,815 57,325 1,028
51 Starbucks Corporation 61,02 59,2975 57,2075 1,0265
52 Costco Wholesale Corporation 158,25 154,3875 150,71 1,0264
53 Liberty Media Corporation - Series A 38,76 37,4425 35,075 1,025
54 Maxim Integrated Products, Inc. 36,61 35,54 33,72 1,0243
55 Apple Inc. 109,99 105,2425 101,405 1,0225
56 Illumina, Inc. 166,86 157,77 154,705 1,022
57 Sirius XM Holdings Inc. 3,96 3,8625 3,645 1,0192
58 Xilinx, Inc. 47,62 47,309 45,995 1,0187
59 NXP Semiconductors N.V. 82,05 78,6926 72,605 1,0176
60 Amgen Inc. 154,16 148,23 148,51 1,0126
61 Intel Corporation 32,45 31,5175 30,215 1,0121
62 Norwegian Cruise Line Holdings Ltd. - Ordinary Shares 54,52 51,7688 46,3 1,0085
63 Amazon.com, Inc. 598,5 570,91 556,03 1,0062
64 Activision Blizzard, Inc 34,42 32,785 31,3475 1,0051
65 Netflix, Inc. 105,7 99,715 95,045 0,997
66 SBA Communications Corporation 102,04 97,7875 92,8 0,9967
67 Vodafone Group Plc - American Depositary Shares each representing ten Ordinary Shares 31,73 31,445 31,09 0,993
68 QUALCOMM Incorporated 50,88 51,3025 47,88 0,9926
69 Mylan N.V. 47,5 46,1224 47,135 0,9912
70 CSX Corporation 25,62 25,8625 24,2975 0,9897
71 Liberty Global plc - Class C Ordinary Shares 38,08 36,4412 34,03 0,9832
72 Electronic Arts Inc. 65,92 65,0425 62,25 0,9816
73 Liberty Interactive Corporation QVC Group 25,58 25,2338 24,5725 0,9794
74 Marriott International - Class A 67,13 69,935 65,16 0,9746
75 MONSTER BEVERAGE CORPORATION 134,79 132,0245 129,545 0,9693
76 Liberty Global plc - Class A Ordinary Shares 38,92 37,2875 34,8425 0,9679
77 Whole Foods Market, Inc. 30,52 32,1925 31,4175 0,9677
78 Liberty Interactive Corporation - Series A Liberty Ventures 39,17 37,795 36,465 0,9669
79 Akamai Technologies, Inc. 55,22 55,4925 48,24 0,9661
80 Mondelez International, Inc. - Class A 41,24 40,5638 39,49 0,9654
81 JD.com, Inc. - American Depositary Shares 26,76 26,4738 25,385 0,9647
82 Gilead Sciences, Inc. 94,12 91,2625 88,135 0,9646
83 NetApp, Inc. 26,97 26,2625 24,085 0,9646
84 Bed Bath & Beyond Inc. 49,51 49,82 46,985 0,9559
85 NetEase, Inc. - American Depositary Shares, each representing 25 ordinary shares 143,02 143,69 147,24 0,9518
86 Viacom Inc. - Class B 41,17 39,68 38,79 0,9485
87 American Airlines Group, Inc. 39,52 41,525 39,27 0,9469
88 Seagate Technology PLC - Ordinary Shares (Ireland) 33,69 34,275 31,85 0,9416
89 Biogen Inc. 260,54 256,38 263,675 0,9406
90 Symantec Corporation 18,41 18,4897 18,605 0,9299
91 Cerner Corporation 54,08 52,605 54,33 0,9281
92 Expedia, Inc. 108,2 109,4559 103,52 0,9242
93 Celgene Corporation 101,19 100,34 101,48 0,9228
94 eBay Inc. 23,88 23,8575 24,2925 0,9206
95 TripAdvisor, Inc. 67,23 64,045 62,97 0,9204
96 BioMarin Pharmaceutical Inc. 84,66 82,0625 76,555 0,895
97 Alexion Pharmaceuticals, Inc. 142,94 136,98 143,935 0,89
98 EXPRESS SCRIPTS HOLDING COMPANY 69,11 69,015 70,38 0,874
99 Regeneron Pharmaceuticals, Inc. 405,25 384,32 416,765 0,845
100 DISH Network Corporation - Class A 46,29 47,565 44,8127 0,8395
101 Micron Technology, Inc. 11,03 10,9775 10,8 0,8045
102 Western Digital Corporation 46,6 47,61 45,16 0,7952
103 Incyte Corporation 73,3 69,011 69,6 0,7755
104 Vertex Pharmaceuticals Incorporated 79,15 83,0375 88,68 0,7468
105 Endo International plc - Ordinary Shares 28,68 34,575 43,56 0,5202

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