The Solari Report:
3rd Quarter 2016 Wrap Up
Financial Markets Roundup
[This chart reflects prices adjusted for dividends; charts below may not.]
US Dollar Index
Fixed Income
AGG (US Bond Aggregate), JNK (High Yield Bond ETF)
IEF (5-7yr Treasury ETF), TLT (20 yr. + Treasury ETF)
Equities
NORTH AMERICA
SPX (S&P Large Cap), PKW (Buybacks)
SCHA (U.S. Small Caps), SCHM (U.S. Mid Caps), SCHX (U.S. Large Caps)
US Aerospace & Defense (ITA)
Consumer Discretionary (XLY)
Consumer Staples (XLP)
Industrial Select (XLI)
Health Care (XLV)
IBB (Biotech)
ITB (U.S. Home Construction)
IYR (U.S. Real Estate)
U.S. Equities: 1, 3, 5 Year Sector Performance
Source: Morningstar
Motif Investing
Motif offers an interesting picture on what's up and what's down!
Highest Earners
Lowest Earners
EFA (International Developed)
EUROPE
DAX (Germany)
VGK (FTSE)
VGK(FTSE), EWU (UK), SPY (S&P)
EUFN (European Financials), KBE (US Financials)
European Financials: DB (Deutsche Bank), RBS (Royal Bank of Scotland), BCS (Barclays)
ASIA
EEM (Emerging Markets)
FXI (China Large Caps)
China Small Cap (HAO)
PIN (India)
WAFMX (Frontier Markets).
Commodities
OIL (Crude Oil)
RSX (Russia), OIL (Crude Oil)
GLD (Gold), SLV (Silver)
GDX, GDXJ
CRB (Commodities Index)
YTD Commodities Performance
Baltic Dry Index
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