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[SPLV] Invesco S&P 500 Low Volatility ETF - Time Machine

Data updated 2024-Oct-22 (Tuesday)

 


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Note: Historical Detail for Invesco S&P 500 Low Volatility ETF as of 2024-Oct-22 (about 1 month ago) Market Close includes Performance (day & prior periods), Technical Indicators and Benchmarks. Use Related Links to view other info such as historical Financials and News for [NYSE Arca:SPLV] as available

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Other Dates:  
Time machine widget shows Historical Detail for Invesco S&P 500 Low Volatility ETF on other dates (from 2011-May-05)
Historical Summary: 2024-Oct-22 Tuesday
 Open $72.26   High $72.52 +0.36%
 Close $72.45   Low $71.99 -0.37%
Volume 893 Thousand 0.77x Volatility 0.74%
Change $-0.06 -0.08%
Streak ↓ 2 days -0.93%

 20d SMA $71.87 +0.8%  50d SMA $70.97 +2.1%  100d SMA $68.54 +5.7%  200d SMA $66.32 +9.2%
 RSI 59  MACD 0.04  ADX 23.5  Stochastic Oscillator 77.3 83.6
 CCI 52.4  ATR 0.62  OBV 178 Million  Chaikin A/D 563 Million
 
ETF/ETN

Anomalies  AI

Anomaly Detection for Invesco S&P 500 Low Volatility ETF looks at key performance metrics relative to it's history (upto 10 years) for Invesco S&P 500 Low Volatility ETF to identify unusual levels for 2024-Oct-22:

  • 100-d Performance at +13.0% is extraordinarily high. Subsequent performance over next 200 days in such cases averages +4.6% and is up 77% of the time
  • 200-d Consistency at 59% is unusually high. Subsequent performance over next 200 days in such cases averages +3.6% and is up 70% of the time
  • 5-day Relative Volume at 0.8x is extremely depressed. Subsequent performance over next 200 days in such cases averages +7.0% and is up 82% of the time
  • 100-d Consistency at 61% is abnormally high. Subsequent performance over next 200 days in such cases averages +4.2% and is up 75% of the time
  • 50-d Consistency at 70% is extraordinarily high. Subsequent performance over next 200 days in such cases averages +4.9% and is up 76% of the time
  • ...
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    Anomaly Detection for Invesco S&P 500 Low Volatility ETF looks at key technical metrics relative to it's history (upto 10 years) for Invesco S&P 500 Low Volatility ETF to identify unusual levels for 2024-Oct-22:

  • Chaikin A/D at 600 Million is extraordinarily elevated. Subsequent performance over next 100 days in such cases averages +2.5% and is up 70% of the time
  • % off 100d EMA at +4.8% is abnormally elevated. Subsequent performance over next 200 days in such cases averages +4.7% and is up 78% of the time
  • % off 200d EMA at +8.1% is unusually elevated. Subsequent performance over next 200 days in such cases averages +3.5% and is up 73% of the time
  • MACD at 0.5 is abnormally elevated. Subsequent performance over next 200 days in such cases averages +5.1% and is up 77% of the time
  • % off 100d SMA at +5.7% is unusually elevated. Subsequent performance over next 200 days in such cases averages +5.0% and is up 79% of the time
  • ...
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     Anomaly Details



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    Daily Performance for Invesco S&P 500 Low Volatility ETF. Click on candlesticks in Chart to show/hide summary for day or navigate to historical record (Time Machine functionality)


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    Note: Performance over Key Timeperiods for Invesco S&P 500 Low Volatility ETF up to close of 2024-Oct-22 at $72.45
    Period Frequency Performance % off High % off Low Volatility % off SMA % off EMA Relative Volume
    01 Trailing 5-days
    40% ↑60% ↓  
    -0.28%  
    -1.0%  
    +0.6%  
    1.7%  
    -0.5%  
    -0.2%  
    0.77x  
    02 Trailing 10-days
    60% ↑40% ↓  
    +1.90%  
    -1.2%  
    +2.1%  
    3.3%  
    +0.1%  
    +0.1%  
    0.92x  
    03 Trailing 20-days
    60% ↑40% ↓  
    +1.67%  
    -1.2%  
    +2.6%  
    3.9%  
    +0.8%  
    +0.6%  
    0.78x  
    04 Trailing 30-days
    60% ↑40% ↓  
    +2.22%  
    -1.2%  
    +4.3%  
    5.6%  
    +1.1%  
    +1.2%  
    0.84x  
    05 Trailing 50-days
    70% ↑30% ↓  
    +7.06%  
    -1.2%  
    +7.3%  
    8.6%  
    +2.1%  
    +2.3%  
    1.11x  
    06 Trailing 100-days
    61% ↑39% ↓  
    +13.01%  
    -1.2%  
    +13.0%  
    14.3%  
    +5.7%  
    +4.8%  
    0.90x  
    07 Trailing 200-days
    59% ↑42% ↓  
    +15.16%  
    -1.2%  
    +16.2%  
    17.6%  
    +9.2%  
    +8.1%  
    0.99x  
    08 Month-to-date
    56% ↑44% ↓  
    +1.00%  
    -1.2%  
    +2.6%  
    3.9%  
    09 Quarter-to-date
    56% ↑44% ↓  
    +1.00%  
    -1.2%  
    +2.6%  
    3.9%  
    10 Year-to-date
    58% ↑42% ↓  
    +15.62%  
    -1.2%  
    +16.2%  
    17.6%  
    11 Trailing 52-weeks
    58% ↑42% ↓  
    +25.67%  
    -1.2%  
    +26.3%  
    27.8%  
    Performance Benchmarks from 2024-Oct-22 for Invesco S&P 500 Low Volatility ETF:



    Related to Invesco S&P 500 Low Volatility ETF

    Information for Invesco S&P 500 Low Volatility ETF

      Current Detail : Recent daily/monthly performance & benchmark comparison
      Historical Detail : Historical performance & related information using Time Machine Currently Viewing
      Anomaly Detection : Investigate unusual recent performance & technicals with historical context using AI
      Historical Seasonality : Seasonal performance by calendar months
      Dividend History : History of Dividend Yield
      Technical History : Popular Technical indicator trends (RSI, MACD etc.)
      Metric Deciles : Contextualizing recent performance & technical levels into historical decile buckets
      Dollar Cost Averaging : Dollar Cost Average (DCA) over time in your portfolio
      Moving Averages : Key Simple & Exponential Moving Averages
      Historical Analogues : Insights from closest historical matches to recent performance using Artificial Intelligence
      Chart Pattern Matching : Insights from similar historical charts to recent chart using Artificial Intelligence
      News Stories : News stories on 2024-Oct-22 on Google

    Compare Invesco S&P 500 Low Volatility ETF with other assets

      Market Performance : Recent performance across covered assets
      Historical Performance : Prior & Subsequent performance across assets on a historical date
      Market Technicals : Technical indicator levels across covered assets
      Market Seasonality : Seasonal performance by calendar months across covered assets
      Pair Correlations : Performance Correlations with other assets
      Beta : Volatility relative to the broad market
      Performance Comparison : Visually compare/benchmark performance with other assets over time
      Side-by-Side Comparison : Contrast with other assets over time in a side-by-side presentation










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