Last Update: 2014-09-21
The best performing sector is Pharmaceuticals with two week return of 4.82%.
The worst performing sector is Oil & Gas Exploration & Production with two week return of -5.75%.
Description Ticker BiWeekReturn YTDReturn
Pharmaceuticals XPH 4.82 23.24
Health Care Sector XLV 1.12 17.69
Health Care Equipment XHE 0.83 3.39
Financial Sector XLF 0.81 8.79
Aerospace & Defense ETF XAR 0.75 5.49
Biotech XBI 0.30 20.96
Transportation XTN 0.23 19.42
Industrial Sector XLI 0.19 5.63
Technology Sector XLK 0.12 13.99
Health Care Services XHS 0.00 16.52
High Yield Corp Bonds HYG -0.10 0.13
S&P 500 SPY -0.20 9.72
Consumer Staples Sector XLP -0.32 7.02
Materials Sector XLB -0.41 10.01
Telecom XTL -0.42 3.93
BOA Merrill Crossover Corp Bond XOV -0.67 3.94
Retail XRT -0.74 1.26
Long Term Bonds TLT -0.95 12.17
Consumer Discretionary Sector XLY -1.11 2.96
Software & Services XSW -1.92 -2.33
Semiconductor XSD -1.96 25.97
Homebuilders XHB -2.01 -6.83
Utilities Sector XLU -2.46 13.77
Energy Sector XLE -3.38 7.50
Gold GLD -4.10 -0.77
Oil & Gas Equipment & Services XES -4.45 -1.72
Metals and Mining XME -5.54 -5.11
Oil & Gas Exploration & Production XOP -5.75 7.73
Plot of Bi Weekly Returns against Year to Date (YTD) Returns
Description Ticker BiWeekReturn YTDReturn
Japan Hedged DXJ 3.22 4.92
High Yield Corp Bonds HYG -0.10 0.13
S&P 500 SPY -0.20 9.72
Oil Etf USO -0.94 0.99
Germany EWG -0.95 -5.33
Long Term Bonds TLT -0.95 12.17
Emerging Mkt Bond EMB -1.67 4.91
India IND -2.35 32.05
Gold GLD -4.10 -0.77
Emerging Mkt Equity EEM -5.25 8.14
China FXI -6.35 7.38
Russia RSX -7.19 -15.68
Created by: Robert Goss, rag3s@mtmail.mtsu.edu