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ETF Screener
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ETF Screener
The ETFreplay screener is a statistical model that ranks ETFs according to their
Relative Strength
. The model has 3-factors: 2 timeframes for returns and 1 timeframe for volatility. The time period and weight of each factor can be adjusted below. Click '
Run Model
' to update the screener.
Time Period
Weight
ReturnA
1-Day
2-Days
5-Days
10-Days
20-Days
3-Months
6-Months
12-Months
24-Months
36-Months
%
ReturnB
1-Day
2-Days
5-Days
10-Days
20-Days
3-Months
6-Months
12-Months
24-Months
36-Months
%
Volatility
2-Days
5-Days
10-Days
20-Days
3-Months
6-Months
12-Months
24-Months
36-Months
%
Through
Assets >=
All ETFs
$100 Million
$250 Million
$500 Million
$1 Billion
as of Jan 31, 2012
Page size
100
200
300
400
500
600
Screen
All Unlevered ETFs
MSCI ETFs: Emerg Markets
Commodity ETFs: Non-Equities
Commodity ETFs: Equities
Short & Intermediate Bonds
25 US Industries-Sectors
Want to screen your own list of ETFs?
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ETFs: 146
(Assets >= $1 Billion)
through: Feb 03, 2012
1
2
Symbol
ETF
ReturnA
ReturnB
Volatility
Overall Rank
IBB
iShares Nasdaq Biotechnology Index
+25.2%
+13.4%
15.2 %
1
VNQ
Vanguard MSCI U.S. REIT
+11.6%
+9.1%
9.7 %
2
IJR
iShares S&P SmallCap 600 Index
+15.1%
+10.1%
13.0 %
3
IWN
iShares Russell 2000 Value
+14.4%
+9.7%
12.8 %
4
IWM
iShares Russell 2000 Index Fund
+13.9%
+10.6%
13.2 %
5
IJS
iShares S&P SmallCap 600 Value
+17.9%
+10.8%
14.5 %
6
IWO
iShares Russell 2000 Growth
+13.2%
+11.6%
14.2 %
7
IYR
iShares Dow Jones Real Estate REIT
+11.0%
+8.9%
9.3 %
8
VXF
Vanguard S&P U.S. Small & Midcap
+12.8%
+10.4%
12.9 %
9
RWR
SPDR Dow Jones REIT
+11.4%
+9.1%
10.6 %
10
VBR
Vanguard MSCI U.S. SmallCap Value
+13.9%
+9.5%
12.9 %
11
VB
Vanguard MSCI U.S. Small Cap
+12.9%
+10.1%
13.1 %
12
IJT
iShares S&P SmallCap 600 Growth
+12.3%
+9.3%
12.4 %
13
VBK
Vanguard MSCI U.S. Small Cap Growth
+12.0%
+10.7%
13.4 %
14
ICF
iShares Cohen&Steers Realty REIT
+10.8%
+9.0%
10.7 %
15
VGT
Vanguard MSCI U.S. Technology
+10.0%
+8.8%
9.6 %
16
XLI
U.S. Industrials Sector SPDR
+13.5%
+7.5%
11.3 %
17
IJH
iShares S&P MidCap 400 Index
+11.2%
+9.1%
12.3 %
18
XHB
S&P Homebuilders SPDR
+28.2%
+12.5%
28.7 %
19
MDY
S&P MidCap 400 SPDRs
+11.2%
+9.0%
12.3 %
20
XLB
U.S. Materials Sector SPDR
+11.0%
+8.8%
11.9 %
21
IYW
iShares DJ U.S. Technology
+9.6%
+8.4%
9.3 %
22
IJJ
iShares S&P MidCap 400 Value
+13.1%
+8.4%
13.3 %
23
EWZ
iShares MSCI Brazil Index Fund
+11.3%
+15.5%
20.7 %
24
EWW
iShares MSCI Mexico Index Fund
+12.6%
+11.6%
20.1 %
25
VO
Vanguard MSCI U.S. Mid Cap
+10.4%
+8.3%
12.1 %
26
IWR
iShares Russell Midcap Index Fund
+9.9%
+7.7%
11.0 %
27
IWV
iShares Russell 3000 Index Fund
+9.8%
+6.0%
8.9 %
28
IWS
iShares Russell Midcap Value
+10.2%
+6.7%
10.5 %
29
XLV
U.S. Health Care Sector SPDR
+9.9%
+3.3%
6.8 %
30
QQQ
PowerShares Nasdaq-100 Index
+9.3%
+7.7%
8.8 %
31
VTI
Vanguard MSCI Total U.S. Stock Market
+9.9%
+6.0%
9.2 %
32
XLF
U.S. Financial Sector SPDR
+12.0%
+9.3%
15.5 %
33
IVE
iShares S&P 500 Value Index Fund
+11.0%
+5.4%
10.4 %
34
IWP
iShares Russell Midcap Growth
+9.7%
+8.8%
12.3 %
35
VUG
Vanguard MSCI U.S. LargeCap Growth
+9.4%
+6.9%
8.9 %
36
XLY
U.S. Consumer Discret Sector SPDR
+10.2%
+5.7%
10.4 %
37
DEM
WisdomTree Emerging Markets Income
+9.4%
+11.0%
14.2 %
38
OEF
iShares S&P U.S. 100 Index
+9.7%
+4.3%
7.9 %
39
IJK
iShares S&P MidCap 400 Growth
+9.1%
+9.5%
11.2 %
40
PRF
FTSE RAFI US 1000 Portfolio
+9.7%
+5.2%
9.2 %
41
IWF
iShares Russell 1000 Growth
+9.3%
+6.7%
8.9 %
42
XLK
U.S. Technology Sector SPDR
+8.7%
+6.8%
8.5 %
43
DLN
Wisdomtree U.S. LargeCap Dividend
+9.6%
+3.2%
7.4 %
44
VV
Vanguard MSCI U.S. Large Cap
+9.5%
+5.6%
8.9 %
45
RSP
Rydex S&P Equal Stock Weight
+9.6%
+7.0%
10.9 %
46
IWB
iShares Russell 1000 Index Fund
+9.5%
+5.7%
9.1 %
47
SCZ
iShares MSCI EAFE Small Cap Index
+8.2%
+11.0%
12.9 %
48
DIA
SPDR Dow Jones Industrial Average
+9.4%
+3.7%
7.5 %
49
VOO
Vanguard S&P 500
+9.3%
+5.1%
8.6 %
50
IVV
iShares S&P 500 Index Fund
+9.2%
+5.0%
8.4 %
51
VTV
Vanguard MSCI U.S. LargeCap Value
+9.7%
+4.3%
9.3 %
52
PGF
PowerShares Financial Sector Preferred
+6.7%
+5.8%
4.1 %
53
VOT
Vanguard MSCI U.S. Midcap Growth
+9.1%
+9.1%
12.6 %
54
KBE
SPDR S&P Bank Industry Index
+15.1%
+6.6%
17.9 %
55
SPY
SPDR S&P 500 Index
+9.2%
+5.1%
8.5 %
56
IWD
iShares Russell 1000 Value
+9.7%
+4.6%
9.6 %
57
DTN
WisdomTree U.S. Dividend ex-Financials
+9.4%
+3.9%
8.6 %
58
VYM
Vanguard High Dividend Yield Index
+9.3%
+2.7%
6.9 %
59
EWS
iShares MSCI Singapore Index
+7.7%
+13.9%
15.4 %
60
EWG
iShares MSCI Germany Index
+9.2%
+14.1%
22.8 %
61
VWO
Vanguard MSCI Emerging Markets
+8.5%
+13.3%
17.6 %
62
IVW
iShares S&P 500 Growth Index Fund
+7.7%
+4.7%
7.8 %
63
VIG
Vanguard Dividend Appreciation
+8.3%
+3.4%
8.0 %
64
ACWI
iShares MSCI All-World ACWI Index
+7.9%
+7.2%
11.1 %
65
ILF
iShares S&P Latin America
+8.9%
+11.6%
18.1 %
66
ELD
WisdomTree Emerg Mkts Local Debt (4-5yr)
+5.4%
+7.8%
8.3 %
67
FXI
iShares FTSE China 25 Index Fund
+8.4%
+13.4%
20.4 %
68
RSX
Market Vectors DAXglobal Russia
+8.2%
+17.3%
22.3 %
69
EEM
iShares MSCI Emerging Markets
+7.9%
+13.4%
18.0 %
70
PFF
iShares S&P US Preferred Stock Index
+5.9%
+4.9%
4.1 %
71
SDY
SPDR S&P U.S. Dividend Aristocrats
+7.9%
+3.6%
8.5 %
72
VT
Vanguard Total World Stock Index
+7.6%
+7.4%
12.0 %
73
AMJ
J.P. Morgan Alerian MLP Index
+9.8%
+1.2%
10.9 %
74
IOO
iShares S&P Global 100 Index Fund
+7.9%
+5.5%
11.2 %
75
AMLP
ALPS Alerian MLP Infrastructure Index
+7.5%
+0.9%
5.8 %
76
WIP
SPDR Int'l Govt Infl-Protect Bond (9-10yr)
+4.6%
+6.3%
8.0 %
77
IEV
iShares S&P Europe 350 Index Fund
+7.8%
+9.7%
18.1 %
78
RWX
SPDR DJ International Real Estate
+5.2%
+11.2%
14.1 %
79
DVY
iShares DJ Select Dividend Index
+7.2%
+2.0%
7.8 %
80
AAXJ
iShares MSCI Asia ex-Japan
+6.3%
+12.6%
16.1 %
81
JNK
SPDR Barcap High-Yield Junk Bond (4-7yr)
+5.3%
+3.1%
4.5 %
82
VEU
Vanguard FTSE All-World ex-US
+7.0%
+9.3%
15.6 %
83
EPP
iShares MSCI Pacific ex-Japan
+6.7%
+9.9%
15.7 %
84
MOO
Market Vectors Agribusiness
+6.8%
+7.8%
13.2 %
85
MUB
iShares S&P National Muni Bond (2-3yr)
+6.7%
+3.3%
8.6 %
86
PGX
PowerShares U.S. Preferred Stock
+4.5%
+3.0%
3.1 %
87
EWT
iShares MSCI Taiwan Index Fund
+5.4%
+11.3%
15.5 %
88
VGK
Vanguard MSCI Europe
+7.1%
+9.7%
19.7 %
89
VPL
Vanguard Pacific Region
+5.5%
+7.0%
11.9 %
90
EFV
iShares MSCI EAFE Value Index
+6.9%
+8.6%
15.4 %
91
VEA
Vanguard MSCI Euro Pacific
+6.7%
+8.3%
14.3 %
92
VCIT
Vanguard Interm Corp Bond (6-7yr)
+2.6%
+3.0%
3.6 %
93
EWA
iShares MSCI Australia Index Fund
+7.0%
+8.9%
15.8 %
94
EWY
iShares MSCI South Korea Index Fund
+6.5%
+10.6%
19.1 %
95
TFI
SPDR Nuveen Barclays Muni Bond (9-10yr)
+5.2%
+2.0%
5.3 %
96
HYG
iShares iBoxx High-Yield Corp Bond (4-5yr)
+5.0%
+2.3%
4.6 %
97
LQD
iShares iBoxx Invest Grade Bond (7-8yr)
+2.0%
+3.1%
4.3 %
98
EFG
iShares MSCI EAFE Growth Index
+6.5%
+8.3%
14.7 %
99
EFA
iShares MSCI EAFE Index
+6.6%
+8.2%
14.9 %
100
ETF Categories
U.S. Equity
International Equity
Emerging Markets Equity
U.S. Treasury Bonds/TIPS
Corporate/Credit Bonds
Quasi-Equity: REITs, Preferreds, MLPs etc
Commodities
Int'l Bonds / Currencies
Derivatives - Leveraged and Volatility Products
Other
Notes:
For detailed information on how the ETF screener calculates relative strength see
how the screener works
All returns are Total Return, which includes the receipt and reinvestment of any dividends and distributions
Volatility is the annualized standard deviation of daily returns
The full universe of Exchange Traded Funds from which the screener draws will grow over time as new ETFs pass the minimum lookback period required to qualify for the model
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