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200-day Capital Markets Summary

Data updated 2024-Nov-22 (Friday)

  Prior 200 trading days performance detail for Capital Markets industry includes comparison with other industries within Financials sector using S&P 500 stocks. Capital Markets includes traditional & alternative asset management (incl. Private Equity), financial research & trading businesses. Analyze Industries within Financials sector to see whats working (or not). Navigate to other sectors/industries using tables below or change comparison time periods from filter widget. Updated as of last close on Nov-22 (Friday)

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Industries: Prior 200 trading days performance on 2024-Nov-22 (Friday) across various industries within Financials sector. Industries aggregated by S&P 500 stocks only
Industry SMA Distribution % off SMA 200d Direction % Change % off 200d Low % off 200d High Relative Volume Volatility
100% ↑
0% ↓
+25.6%
100% ↑
0% ↓
+44.6%
+50.2%
-1.2%
0.8x
52.1%
95% ↑
5% ↓
+14.9%
95% ↑
5% ↓
+22.6%
+34.7%
-4.3%
0.8x
40.7%
100% ↑
0% ↓
+31.3%
100% ↑
0% ↓
+56.2%
+58.8%
-1.4%
1.1x
61.3%
100% ↑
0% ↓
+15.4%
95% ↑
5% ↓
+28.5%
+42.4%
-2.5%
0.8x
47.4%

Chart Metrics by Industry: Average cumulative performance for Capital Markets industry stocks within Financials sector over trailing 200-day period. Industries aggregated by S&P 500 stocks only. Select other metrics using below drop-down box. Available metrics currently filtered by selected trailing 200-day timespan
Metrics:  
Use widget to select other metrics for applicable timespan



Calculation Methodology: Performance is calculated using closing price BEFORE start date (or open price for first available date in range) and closing price for end date
  • Daily returns shown for timespan less than 120 days
  • Weekly returns shown for 121 days - 2 years
  • Monthly returns shown for timespan > 2 years
  • Absolute performance (% return of each stock/index/etf over time) calculated if benchmark is blank
  • Relative performance calculated by subtracting % return of benchmark from % return of each line

  • Values are adjusted for splits (if applicable)

      Compare securities in Capital Markets industry over 200-day timeframe. Hover on cells for additional details
    Symbol Name Close Volume % Change 200d Frequency Rel. Volume 200d Change % off 200d High % off 200d Low 200d Volatility Tags



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      Snapshots : Popular lists of stocks & etfs (best streaks, most beaten down etc. in last X days)
      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
      Performance Comparison : Chart compare/benchmark performance with multiple assets over time
      Side-by-Side Comparison : Contrast with other assets over time in a side-by-side presentation
      Sector : Analyze & compare Sector performance
      Industry : Analyze & compare Industries within Sectors Currently Viewing
      Breakouts & Breakdowns : Identifying stocks/etfs which recently traded up/down in unusually elevated volumes
      Swing Volatility : Identifying stocks/etfs with elevated volatility
      World Explorer : Performance & Correlation between key countries across the world
      Advance/Decline : Sentiment using accumulated advances & declines in S&P 500 stocks
      Highs/Lows : Sentiment using frequency of key highs/lows in S&P 500 stocks
      Moving Average : Sentiment using frequency of S&P 500 stocks above key moving averages
      Technical Distribution : Sentiment using frequency distribution of S&P 500 stocks with bullish/bearish technical levels










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