Tag Archives: Canada

Ranking T-Advisor: The best stocks and funds in April

What stocks and funds were the best in April? T-Advisor publishes its ranking taking into account the score. T-Advisor patented score provides an asset rating (bullish, neutral or bearish) based on key performance indicators and technical analysis.

The best shares in April were as it follows:

Company Score Perf. YTD Volatility Weekly VaR Market

EUROPE

Norcom Info Tech

10

178.55%

94.09%

-15.35%

Deutsche Boerse
Bet-at-home.com

10

41.91%

28.81%

-4.80%

Deutsche Boerse
Verbio

10

40.27%

57.80%

-11.08%

Deutsche Boerse
Mensch und Masch

10

36.24%

37.13%

-7.71%

Deutsche Boerse
Le Belier

10

32.67%

35.68%

-8.77%

Paris

USA/CANADA

Claude Resources

10

158.97%

45.61%

-7.35%

Toronto
Richmont Mines

10

95.95%

48.12%

-12.11%

Toronto
Supreme Inds

10

76.50%

47.20%

-9.24%

NYSE
Summit Financial

10

58.08%

22.20%

-3.66%

Nasdaq
Sciclone

10

43.15%

49.66%

-11.53%

Nasdaq

ASIA-PACIFIC

St. Barbara

10

56.49%

68.73%

-14.82%

Australia
Orocobre

10

41.30%

62.92%

-11.15%

Australia
Ono Yakuhin Kogyo

10

17.40%

34.13%

-8.81%

Tokyo
Shionogi

10

5.03%

29.99%

-5.10%

Tokyo
Clinvel Pharmaceutics

9.99

58.17%

37.05%

-6.99%

Australia

LATAM

Casagrande

9.61

122.86%

77.88%

-12.44%

Lima
Multifoods

9.55

129.03%

50.01%

-9.49%

Santiago de Chile
Alicorp

8.69

8.62%

32.05%

-7.71%

Lima
Luz del Sur

8.41

16.39%

29.89%

-7.41%

Lima
Graña y Montero

8.23

138.58%

73.92%

-12.18%

Lima

The best funds in April were as it follows:

Fund Score Perf. YTD Volatility Weekly VaR Managing company

EQUITY FUNDS

INVESCO NIPPON SMALL/MID CAP EQUITY FUND

9.58

9.07%

22.05%

-4.59%

Invesco
ALLIANZ US EQUITY FUND W (H-EUR)

8.51

3.56%

14.03%

-3.95%

Allianz
SISF US SMALL & MID EUR HG C ACC

8.49

6.22%

14.63%

-4.26%

Schroder
BK INDICE AMERICA FI

8.47

0.63%

17.21%

-4.75%

Bankinter
BANKIA BP INDICE S&P 500 FI

8.45

2.82%

14.65%

-4.41%

Bankia
R CAP US PREM EQ — SHS -IH EUR- — CAPITALISATION

8.44

1.08%

15.88%

-4.35%

Robeco

FIXED-INCOME

R CAP H Y BD DHC

8.76

6.55%

9.13%

-2.30%

Robeco
FF-GLB STRAT BD AC SEK HD

8.67

5.47%

5.09%

-0.77%

Fidelity
BLACKROCK PY ST-SBI

8.55

1.71%

7.87%

-1.74%

BlackRock
SCHRODER ISF EMERGING MARKETS DEBT I EUR HEDGED CAP

8.24

8.45%

4.71%

-0.70%

Schroder
AGIF EURO HY — SHS -AT (EUR)- — CAPITALISATION

8.14

3.17%

5.63%

-1.17%

Allianz
AWF US HY BD — SHS -A-EUR HEDGED (95%)- — CAPITAL…

8.08

5.20%

7.71%

-2.20%

AXA
PIM EM MK-E-EUR ACC

8.07

6.29%

7.78%

-2.16%

Pimco
SISF GLBL HIGH YLD EUR HDG I ACC

8.03

4.71%

6.61%

-1.49%

Schroder
NV PRE INC MUN FD 4

7.99

14.35%

14.17%

-2.32%

BlackRock
CIE BENR OPP IN — SHS -A-(USD)

7.90

3.11%

2.05%

-0.54%

Comp. B. Rothschild SICAV

Ranking T-Advisor: The best stocks and funds in March

What stocks and funds were the best in March? T-Advisor publishes its ranking taking into account the score. T-Advisor patented score provides an asset rating (bullish, neutral or bearish) based on key performance indicators and technical analysis.

The best shares in March were as it follows:

Company Score Perf. YTD Volatility Weekly VaR Market

EUROPE

Norcom Info Tech

10

230.34%

93.04%

-15.35%

Deutsche Boerse
Fimalac

10

23.33%

26.93%

-3.83%

Paris
Devoteam S.A.

10

22.84%

37.79%

-7.64%

Paris
PCAS

10

21.08%

29.34%

-4.94%

Paris
Picanol

10

20.86%

34.92%

-7.01%

Brussels

USA/CANADA

Claude Resources

10

75.64%

41.79%

-7.35%

Toronto
Richmont Mines

10

73.21%

49.75%

-13.79%

NYSE
Pro-Dex Inc

10

51.09%

31.31%

-6.85%

Nasdaq
Summit Financial

10

34.01%

20.40%

-3.66%

Nasdaq
Orbcomm

9.91

32.60%

34.61%

-7.17%

Nasdaq

ASIA-PACIFIC

Clinvel Pharmaceuticals

10

56.65%

39.86%

-8.37%

Australia
Manaccom Corp.

10

28.43%

42.71%

-7.18%

Australia
Miura

10

20.89%

24.34%

-4.63%

Tokyo
Yamaha

10

18.51%

30.23%

-5.30%

Tokyo
Lion Corp

10

13.11%

33.00%

-6.70%

Tokyo

LATAM

Embonor

9.54

15.59%

26.67%

-6.03%

Santiago de Chile
Casagrande

8.90

82.86%

77.23%

-12.44%

Lima
Alicorp

8.49

1.72%

29.27%

-7.71%

Lima
CTC

8.41

166.67%

58.04%

-3.33%

Santiago de Chile
Multifoods

8.35

100.00%

49.85%

-9.49%

Santiago de Chile

The best funds in March were as it follows:

Fund Score Perf. YTD Volatility Weekly VaR Managing company

EQUITY FUNDS

INVESCO NIPPON SMALL/MID CAP EQUITY FUND

9.17

7.28%

22.37%

-4.59%

Invesco
SISF US SMALL & MID EUR HG C ACC

8.25

1.31%

14.49%

-4.26%

Schroder
SCHRODER ISF SWISS SMALL & MID CAP EQUITY I CAP

8.23

0.30%

14.44%

-3.61%

Schroder
FF-ASIAN AGGRESSIVE Y

8.16

2.43%

22.64%

-5.56%

Fidelity
INVESCO US STRUCTURED EQUITY FUND [LUX] CH

8.14

2.47%

12.64%

-3.35%

Invesco
M&G INV 1 AMER — ACCUM.SHS — CLASS -C- EUR

8.05

0.01%

19.59%

-5.79%

M&G Investment
AMUNDI EQ US RV — SHS -AU- — CAPITALISATION

8.04

0.45%

16.89%

-4.85%

Groupama
AXA PAC EX-JA — ACCUM.UNITS — CLASS -B- EUR

8.04

0.74%

21.65%

-5.23%

AXA
JPMORGAN ASEAN EQUITY A (ACC) – EUR

8.03

2.67%

22.13%

-5.85%

JP Morgan

FIXED-INCOME

BLACKROCK PY ST-SBI

8.55

1.71%

7.87%

-1.74%

BlackRock
ALLIANZ EURO HIGH YIELD BOND AT (H2-PLN)

8.10

1.61%

5.14%

-1.10%

Allianz
FF-GLB STRAT BD AC SEK HD

7.99

4.50%

4.98%

-0.77%

Fidelity
CIE BENR OPP IN — SHS -A-(USD)

7.90

3.11%

2.05%

-0.54%

B. Rothschild SICAV
AWF US HY BD — SHS -A-EUR HEDGED (95%)- — CAPITAL…

7.70

2.15%

7.56%

-2.20%

AXA
AXA WF GLOBAL AGGREGATE BONDS J CAP JPY HEDGED JPY

7.69

2.87%

2.86%

-0.67%

AXA
AVIVA FUNDS – LONG TERM EUROPEAN BOND FUND P1 CAP

7.61

7.13%

14.20%

-2.33%

Aviva
JPMF INVESTMENT FUNDS – GLOBAL HIGH YIELD BOND X – EUR

7.57

1.97%

7.26%

-1.84%

JP Morgan
AXA WF GLOBAL EMERGING MARKETS BONDS F CAP EUR

7.51

3.93%

4.97%

-1.27%

AXA
JPMORGAN FUNDS – EUROPE HIGH YIELD BOND FUND

7.37

1.79%

5.80%

-1.35%

JP Morgan

 

Ranking T-Advisor: Our best stocks and funds in May

What stocks and funds were the best in May? T-Advisor publishes its ranking taking into account the score. T-Advisor patented score provides an asset rating (bullish, neutral or bearish) based on key performance indicators and technical analysis.

The best shares in May were as it follows:

Company Score Perf. YTD Volatility Weekly VaR Market

EUROPE

Adva AG

10

105.68%

36.29%

-7.07%

Xetra
Hyphoport

10

105.23%

38.53%

-7.16%

Deutsche Boerse
Technotrans AG

10

75.27%

26.78%

-5.60%

Xetra
Ams AG

10

72.48%

30.15%

-6.68%

Deutsche Boerse
BasicNet

10

70.56%

28.87%

-5.69%

Mercato continuo italiano

USA/CANADA

Theratechnologies

10

286.11%

74.05%

-16.30%

Toronto
Multi-Fineline Elec

10

122.79%

35.95%

-6.41%

Nasdaq
Repligen

10

110.75%

47.39%

-9.54%

Nasdaq
Skechers USA

10

84.61%

34.73%

-6.77%

NYSE
Cal-Maine Foods

10

53.37%

43.12%

-10.00%

Nasdaq

ASIA

Kingdee Int. Software

10

144.58%

40.90%

-5.44%

Hong Kong
Fosun International

10

90.74%

33.46%

-6.52%

Hong Kong
Digital China

10

85.53%

43.54%

-8.88%

Hong Kong
Shenzhen Investment

10

82.95%

33.16%

-6.43%

Hong Kong
Hong Kong Exchanges and Clearing

10

66.80%

33.53%

-3.64%

Hong Kong

LATAM

Cerro Verde

10

10.41%

23.25%

-7.06%

Lima
Banmedica

9.85

21.75%

32.95%

-5.29%

Santiago de Chile
Embonor

9.50

18.42%

20.78%

-4.44%

Santiago de Chile
CorpBanca

8.58

1.67%

20.12%

-3.83%

Santiago de Chile
Embotelladora Andina

8.35

22.16%

24.59%

-5.46%

Santiago de Chile

The best funds in May were as it follows:

Fund Score Perf. YTD Volatility Weekly VaR Managing company

EQUITY FUNDS

Invesco PRC Equity Fund [Dub] CH

10

20.30%

16.85%

-2.92%

Invesco
BGF China Hedged E2 EUR

10

23.76%

18.17%

-3.10%

BlackRock
BGF  Pacific Equity Fund E2 USD

9.83

13.31%

11.82%

-2.61%

BlackRock
BGF Japan Value Fund A2 JPY

9.76

9.70%

17.28%

-4.02%

BlackRock
AGIF Hong Kong — Shs -IT (USD)- — Capitalisation

9.74

21.25%

14.42%

-2.61%

Allianz
Schroder ISF Emerging Markets B Cap

9.66

6.75%

13.38%

-3.23%

Schroder
BGF  World Healthscience Fund E2 USD

9.65

9.28%

12.87%

-2.35%

BlackRock
Invesco Korean Eqty — Shs — Class -A-

9.64

27.64%

14.86%

-3.04%

Invesco
BGF Swiss Opportunities A2 CHF

9.63

8.90%

19.40%

-4.68%

BlackRock
BGF  US Growth Fund E2 USD

9.50

5.04%

13.45%

-2.66%

BlackRock

FIXED-INCOME

SISF Asian Conv Bd EUR Hdg I Acc

9.30

12.65%

6.61%

-0.93%

Schroder
BGF  Emerging Markets Bond Fund E2 EUR

9.22

9.76%

8.64%

-1.84%

BlackRock
BGF US Dollar High Yield BondFd Class A2 USD

8.64

3.17%

4.51%

-1.23%

BlackRock
FonDeudPubInter – Units

8.63

11.69%

6.37%

-1.25%

Caixabank
BGF  US Government Mortgage Fund E2 USD

8.55

0.58%

1.78%

-0.35%

BlackRock
C.MURCIA SEL.DIN

8.45

15.15%

11.25%

-2.17%

Ahorro Corporación
PIM Gl Real Ret — Accum.Shs — Class -A-

8.41

0.75%

5.76%

-1.61%

Pimco
Pim Low Av Dur-E-Ac

8.39

0.16%

0.96%

-0.22%

Pimco
Fid MoneyB Eu AD

7.87

18.38%

14.14%

-3.62%

Fidelity
JB Mbd Abs Bd Pl BC

7.75

1.64%

3.81%

-1.07%

Swiss and Global AM

 

Market opportunities by T-Advisor: Onex Corp

T-Advisor, through its tool Market Opportunities, has detected the company Onex Corp, listed in Toronto, as an opportunity for investment.

These are the main figures about performances and volatility in the last years:

Onex Corp main data in T-Advisor

The chart shows the evolution in the last year:

Onex Corp chart in T-Advisor

The technical analysis reveals also more data:

Onex Corp technical analysis in T-Advisor

Finally, the risk analysis is as follows:

Onex Corp risk analysis in T-Advisor

Onex is a private equity firm. Through its Onex Partners and ONCAP private equity funds, Onex acquires and builds high-quality businesses in partnership with talented management teams.  At Onex Credit, Onex manages and invests in leveraged loans, collateralized loan obligations and other credit securities. The company has approximately $20.7 billion of assets under management, including $6.0 billion of Onex Capital.

The company obtained in 2014 revenues up to $19,793 million, almost the same as the year before. Net earning in 2014 was $159 million, compared with the losses in 2013. The share price double since January 2012 with a very continuous upward trend.