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Analysis of [XLP] Consumer Staples Select Sector SPDR Fund

Data updated 2024-Nov-22 (Friday)

 


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Note: Detail for Consumer Staples Select Sector SPDR Fund as of 2024-Nov-22 Market Close includes Performance (day & prior periods), Technical Indicators and Benchmarks. Use Related Links to view other info such as Seasonality, Correlations, Financials and Recent news for [AMEX:XLP]

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Other Dates:  
Time machine widget shows Historical Detail for Consumer Staples Select Sector SPDR Fund on other dates (from 1998-Dec-22)
2024-Nov-22 Friday
 Open $81.54   High $81.91 +0.45%
 Close $81.84   Low $81.44 -0.12%
Volume 7.7 Million 0.91x Volatility 0.58%
Change +$0.75 +0.92%
Streak ↑ 2 days +2.02%

 20d SMA $80.53 +1.6%  50d SMA $81.55 +0.4%  100d SMA $80.73 +1.4%  200d SMA $78.26 +4.6%
 RSI 58  MACD 0.17  ADX 15.7  Stochastic Oscillator 73.7 62.6
 CCI 245.5  ATR 0.8  OBV 1.11 Billion  Chaikin A/D 2.34 Billion
 
ETF/ETN

Anomalies  AI

Anomaly Detection for Consumer Staples Select Sector SPDR Fund looks at key performance metrics relative to it's history (upto 10 years) for Consumer Staples Select Sector SPDR Fund to identify unusual levels for 2024-Nov-22:

  • 5-d Performance at +2.4% is abnormally high. Subsequent performance over next 200 days in such cases averages +6.0% and is up 78% of the time
  • 5-d Upswing at -0.1% is abnormally high. Subsequent performance over next 200 days in such cases averages +5.4% and is up 78% of the time
  • 5-d Downswing at +2.9% is abnormally high. Subsequent performance over next 200 days in such cases averages +6.2% and is up 79% of the time
  • 10-d Upswing at -0.1% is abnormally high. Subsequent performance over next 200 days in such cases averages +5.5% and is up 77% of the time
  • 20-d Upswing at -0.1% is extraordinarily high. Subsequent performance over next 200 days in such cases averages +5.4% and is up 77% of the time
  • ...
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    Anomaly Detection for Consumer Staples Select Sector SPDR Fund looks at key technical metrics relative to it's history (upto 10 years) for Consumer Staples Select Sector SPDR Fund to identify unusual levels for 2024-Nov-22:

  • OBV at 1 Billion is unusually elevated. Subsequent performance over next 200 days in such cases averages +3.8% and is up 74% of the time
  • % off 5d SMA at +1.2% is abnormally elevated. Subsequent performance over next 200 days in such cases averages +5.8% and is up 78% of the time
  • % off 5d EMA at +1.0% is unusually elevated. Subsequent performance over next 200 days in such cases averages +5.7% and is up 76% of the time
  • Chaikin A/D at 2 Billion is extremely elevated. Subsequent performance over next 200 days in such cases averages +6.4% and is up 80% of the time
  • CCI at 245.5 is extraordinarily elevated. Subsequent performance over next 200 days in such cases averages +5.6% and is up 76% of the time
  • ...
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     Anomaly Details


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    Daily Performance for Consumer Staples Select Sector SPDR Fund. Click on candlesticks in Chart to show/hide summary for day or navigate to historical record (Time Machine functionality)



    Note: Performance over Key Timeperiods for Consumer Staples Select Sector SPDR Fund up to close of 2024-Nov-22 at $81.84
    Period Frequency Performance % off High % off Low Volatility % off SMA % off EMA Relative Volume
    01 Trailing 5-days
    80% ↑20% ↓  
    +2.35%  
    -0.1%  
    +2.9%  
    3.0%  
    +1.2%  
    +1.0%  
    0.91x  
    02 Trailing 10-days
    60% ↑40% ↓  
    +1.26%  
    -0.1%  
    +2.9%  
    3.0%  
    +1.4%  
    +1.3%  
    0.93x  
    03 Trailing 20-days
    60% ↑40% ↓  
    +0.96%  
    -0.1%  
    +3.1%  
    3.2%  
    +1.6%  
    +1.3%  
    1.01x  
    04 Trailing 30-days
    53% ↑47% ↓  
    +0.25%  
    -1.6%  
    +3.1%  
    4.8%  
    +1.0%  
    +1.1%  
    0.95x  
    05 Trailing 50-days
    50% ↑50% ↓  
    -2.49%  
    -3.2%  
    +3.1%  
    6.5%  
    +0.4%  
    +1.0%  
    0.93x  
    06 Trailing 100-days
    55% ↑45% ↓  
    +7.06%  
    -3.2%  
    +7.2%  
    10.7%  
    +1.4%  
    +1.8%  
    0.92x  
    07 Trailing 200-days
    55% ↑46% ↓  
    +10.91%  
    -3.2%  
    +13.1%  
    16.8%  
    +4.6%  
    +4.1%  
    0.99x  
    08 Month-to-date
    69% ↑31% ↓  
    +2.15%  
    -0.1%  
    +3.1%  
    3.2%  
    09 Quarter-to-date
    51% ↑49% ↓  
    -1.40%  
    -1.6%  
    +3.1%  
    4.8%  
    10 Year-to-date
    53% ↑47% ↓  
    +13.62%  
    -3.2%  
    +14.4%  
    18.1%  
    11 Trailing 52-weeks
    55% ↑45% ↓  
    +16.66%  
    -3.2%  
    +17.6%  
    21.5%  
    5-year Performance Benchmarks for Consumer Staples Select Sector SPDR Fund:


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    Related to Consumer Staples Select Sector SPDR Fund

    Information for Consumer Staples Select Sector SPDR Fund

      Current Detail : Recent daily/monthly performance & benchmark comparison Currently Viewing
      Historical Detail : Historical performance & related information using Time Machine
      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-Nov-22 on Google

    Compare Consumer Staples Select Sector SPDR Fund 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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