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cGroup: Health Care

     Description (show/hide)
Funds are assigned to a Correlated Group (cGroup) based on price correlation over the past six months. This methodology will, in a few cases, result in an assignment not intuitive from the fund name. It does, however, generally reflect what funds are moving in a related pattern within the dynamic marketplace. Fund groupings are generally stable, but re-evaluated each weekend. Performance numbers are current with the site. For more information about Correlated Groups see the bottom of the Performance by Correlated Group page.


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Check desired symbols for Comparison Chart or to View Correlations.
 
Viewing data as of 2024-05-08 11:14 am ET (10 min updates).

NameSymbolRSfRtn-1dRtn-5dRtn-1moRtn-3moRtn-6moRtn-1yr$vol-21
popupLoncar Cancer Immunotherapy ETFCNCR91.67-1.770.45-3.063.4048.6314.13335k
popupAmplify Seymour Cannabis ETFCNBS91.590.56-4.46-6.940.1941.8025.82253k
popupBioShares Biotech Clinical Trials ETFBBC90.95-1.741.90-0.914.8847.4711.7165k
popupALPS Medical Breakthroughs ETFSBIO70.26-0.772.101.041.3635.637.84349k
popupiShares Russell 2000 Growth Index FundIWO64.95-0.694.37-1.625.3121.4816.92104m
popupInvesco DWA HealthcarePTH62.05-1.031.37-2.050.9034.222.49481k
popupSPDR BioTech ETFXBI57.91-0.892.63-2.201.7728.285.46970m
popupPrincipal Healthcare Innovators Index ETFBTEC55.09-0.003.16-1.121.7032.271.59210k
popupVanEck Vectors PharmaceuticalPPH46.920.350.781.111.6516.1613.5816m
popupiShares Genomics Immunology and HealthcareIDNA45.15-1.002.790.854.6923.93-2.31474k
popupiShares US HealthcareIYH38.35-0.291.09-0.66-0.7413.8411.8226m
popupiShares US PharmaceuticalsIHE38.110.831.29-0.12-0.2314.9412.414m
popupInvesco Dyn PharmaceuticalsPJP34.490.431.251.614.7412.615.04697k
popupInvesco Nasdaq Biotechnology ETFIBBQ32.72-0.182.821.110.5513.584.14224k
popupFranklin Genomic Advancements ETFHELX31.990.002.18-3.531.9016.802.0125k
popupInvesco Dyn Biotech & GenomePBE31.350.212.271.061.2015.513.361m
popupVanguard Health CareVHT30.30-0.251.22-0.96-0.8712.747.4340m
popupInvesco S&P SmallCap Health Care PortfolioPSCH30.22-0.632.92-1.134.0219.27-3.98511k
popupFidelity MSCI Health CareFHLC29.70-0.391.09-1.14-0.9712.647.296m
popupSelect Sector SPDR Fund - Health CareXLV29.54-0.321.10-0.80-1.2011.708.371b
popupiShares NASDAQ Biotechnology Index FundIBB25.59-0.042.89-0.77-0.3711.682.05221m
popupVanEck Vectors Biotech ETFBBH25.230.283.560.861.028.463.811m
popupFirst Trust Indxx Medical DevicesMDEV24.670.001.86-3.13-0.3517.03-2.8515k
popupBioShares Biotech Products ETFBBP23.380.002.400.70-3.8714.044.0341k
popupInvesco S&P Equal Weight Health Care ETFRSPH22.50-0.560.77-3.16-1.7413.832.742m
popupiShares US Health ProviderIHF22.09-0.341.730.25-0.735.886.685m
popupSPDR S&P Health Care Services ETFXHS20.85-0.631.41-2.042.3410.810.74594k
popupFirst Trust Health Care AlphaDEX FundFXH19.36-0.600.57-2.820.8912.35-2.594m
popupFirst Trust Nasdaq Pharmaceuticals ETFFTXH14.610.041.55-0.77-1.468.741.84133k
popupFirst Trust NYSE Biotech IndexFBT10.99-0.051.96-2.860.346.78-3.323m
popupFidelity Digital HealthFDHT10.30-2.540.81-2.45-2.2015.39-6.2833k
popupWisdomTree BioRevolution FundWDNA10.220.003.92-2.890.2311.31-6.6019k
popupIQ ARB Merger Arbitrage ETFMNA9.74-0.220.55-0.830.190.94-0.992m
popupSPDR PharmaceuticalsXPH8.170.931.91-2.17-3.9612.05-1.791m
popupSPDR S&P Health Care Equipment XHE7.89-3.040.34-3.75-1.9418.93-13.522m
popupGlobal X Telemedicine & Digital Health ETFEDOC4.19-2.682.36-2.36-3.917.57-22.11183k
popupARK Genomic Revln Multi Sector ETFARKG2.82-1.233.92-11.00-14.55-1.35-16.4770m
popupAdvisorShares Psychedelics ETFPSIL2.09-3.05-1.63-13.05-9.29-13.01-27.2679k
38 symbols listed

The dynamics of Relative Strength are illustraded below for the past quarter. From this you can visualize which funds are improving on a relative basis and which are deteriorating.

5-day Intervals 21-day Intervals
Viewing data as of 2024-05-08 11:14 am ET (10 min updates).

Symbol 05/0805/0104/2404/1704/1004/0303/2603/1903/1203/0502/2702/2002/12
CNCR 91.796.186.990.092.894.994.896.197.297.998.197.596.8
CNBS 91.698.195.395.997.098.296.588.47.257.585.785.490.0
BBC 90.993.981.083.686.291.294.895.696.597.797.697.096.5
SBIO 70.379.246.260.268.073.979.780.188.496.097.295.395.3
IWO 64.952.349.750.058.862.766.962.073.473.778.873.681.8
PTH 62.175.350.863.460.070.672.974.486.694.095.993.793.0
XBI 57.960.833.231.348.161.473.975.786.693.796.191.189.8
BTEC 55.155.423.322.940.246.654.155.170.080.391.889.989.6
PPH 46.969.350.851.049.564.571.778.079.279.777.280.966.4
IDNA 45.249.922.613.224.128.540.340.451.949.478.259.457.5
IYH 38.453.344.843.944.246.557.764.667.067.868.571.163.2
IHE 38.161.240.345.649.960.666.071.070.678.381.083.372.0
PJP 34.539.019.218.827.434.238.444.334.929.342.733.940.2
IBBQ 32.726.912.29.315.624.938.639.954.762.478.767.162.4
HELX 32.039.327.528.140.044.655.048.863.964.163.449.943.9
PBE 31.326.09.19.012.014.228.730.142.251.963.752.856.3
VHT 30.340.235.732.837.246.558.065.367.368.870.972.364.9
PSCH 30.219.410.59.613.014.723.029.935.422.946.635.747.7
FHLC 29.740.235.631.737.346.457.165.366.768.769.771.464.6
XLV 29.540.937.634.938.148.860.367.568.370.069.172.763.8
IBB 25.618.010.18.314.120.936.538.053.356.272.458.956.6
BBH 25.212.88.76.59.010.628.826.739.533.047.132.136.0
MDEV 24.722.822.724.538.034.042.244.662.455.653.458.755.6
BBP 23.421.48.98.117.321.634.933.350.974.192.287.086.6
RSPH 22.530.128.619.533.235.847.056.466.058.959.961.758.8
IHF 22.120.628.516.415.417.739.148.435.828.640.942.944.7
XHS 20.820.918.512.419.926.834.141.534.321.931.521.141.7
FXH 19.425.220.312.521.223.933.337.543.137.244.035.436.7
FTXH 14.619.512.510.618.229.239.742.251.052.160.554.949.2
FBT 11.09.77.76.68.38.311.811.024.514.628.412.114.1
FDHT 10.312.38.48.712.411.425.526.038.618.045.937.954.5
WDNA 10.28.37.36.811.111.819.015.028.539.456.239.935.5
MNA 9.711.410.311.611.513.714.717.016.617.712.415.014.1
XPH 8.210.58.39.813.725.531.036.642.461.877.678.271.8
XHE 7.910.48.58.210.98.48.69.315.510.729.728.546.4
EDOC 4.23.93.63.34.24.24.95.05.95.57.97.511.3
ARKG 2.82.32.21.93.33.84.85.68.49.364.443.869.8
PSIL 2.11.72.22.53.46.05.45.77.87.06.17.66.1

This page is the result of this screen plus the filters set above.

Symbols can be added or removed by changing the list below. Symbols should be separated by a space character. A maximum of 100 symbols can be included. If more than 100 are included then the list will be truncated. Click the Update button to refresh the page.

Any symbols marked with * are not shown in the data tables because they are either filtered out
by the above settings, not valid symbols, or are low volume ETF's not updated intra-day.

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