Tag Archives: Latam

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 February

What stocks and funds were the best in February? 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 February were as it follows:

Company Score Perf. YTD Volatility Weekly VaR Market

EUROPE

Tessi

10

17,11%

20,67%

-3,09%

Paris
Aubay

10

14,15%

29,06%

-6,71%

Paris
Muhlbauer Holding

10

8,98%

26,87%

-6,13%

Deutsche Boerse
Artec Technologies

9.95

8,23%

95,81%

-18,13%

Deutsche Boerse
Verbio

9.79

12,27%

58,49%

-11,08%

Deutsche Boerse

USA

Richmont Mines

10

40,81%

48,66%

-13,79%

NYSE
Pro-Dex Inc

9.92

22,12%

32,17%

-8,33%

Nasdaq
Black Hills Corp

9.86

23,67%

25,83%

-6,68%

NYSE
Chase Corp

9.77

12,20%

29,60%

-6,60%

NYSE
Orbcomm

9.76

18,37%

34,67%

-7,17%

Nasdaq

ASIA-PACIFIC

New World China

10

20,29%

36,19%

-6,11%

Hong Kong
St. Barbara

9.91

29,47%

73,81%

-13,81%

Australia
Daito Trust

9.80

7,92%

25,09%

-6,56%

Tokyo
Yamaha

9.75

5,97%

30,23%

-5,30%

Tokyo
Lion Corp

9.71

4,98%

33,35%

-6,70%

Tokyo

LATAM

Embonor

9.17

2,32%

25,83%

-6,03%

Santiago de Chile
Banco Crédito e Inversión

7.80

4,41%

16,28%

-3,43%

Santiago de Chile
Parque Arauco

7.48

0,60%

16,70%

-4,42%

Santiago de Chile
Paz Corp

7.46

7,26%

19,47%

-4,09%

Santiago de Chile
Inversiones Agua

7.33

0,10%

8,33%

-2,52%

Santiago de Chile

The best funds in February were as it follows:

Fund Score Perf. YTD Volatility Weekly VaR Managing company

EQUITY FUNDS

BRS&P QR GBL EQ MGD

6,63

2,16%

10,45%

-2,20%

BlackRock
ALLIANZ RCM INDONESIA A EUR

6,50

2,22%

31,04%

-8,54%

Allianz
AWF FRA AMER GR — SHS -A- — CAPITALISATION

6,40

11,12%

20,24%

-4,87%

AXA
CS EF LUX GL PRES B

6,30

11,89%

13,36%

-3,43%

Credit Suisse
AWF F EU MICR — SHS -A- — CAPITALISATION

6,13

15,28%

13,57%

-2,86%

AXA
BGF WORLD GOLD FUND A2 EUR

5,99

31,37%

32,97%

-8,19%

BlackRock

FIXED-INCOME

AXA WF GLOBAL AGGREGATE BONDS J CAP JPY HEDGED JPY

8,37

1,27%

2,85%

-0,67%

AXA
CIE BENR OPP IN — SHS -A-(USD)

7,90

3,11%

2,05%

-0,54%

Rothschild
FC CART RT FJ DURAC – UNITS

7,54

2,12%

11,14%

-0,82%

CaixaBank
AV I LG EU BD — SHS -A- — CAPITALISATION

7,21

5,82%

11,85%

-3,22%

Aviva
JPMORGAN FUNDS – GLOBAL GOVERNMENT BOND FUND

7,20

3,11%

3,47%

-0,80%

JP Morgan AM
AXA WF EURO 10+LT M CAP EUR

7,16

5,40%

11,21%

-2,94%

AXA
PIONEER SF – EURO EXTRA LONG TERM BOND CLASS F NON.

7,04

5,36%

12,29%

-3,87%

Pioneer
UBAM YLD CURV EURO — SHS -AC- — CAPITALISATION

6,98

2,17%

4,91%

-1,37%

UBAM
PIMCO MUN INC-SBI

6,93

3,68%

7,45%

-1,89%

Pimco
NUVEEN MUN INCOME

6,87

5,34%

12,47%

-2,67%

BlackRock

 

Ranking T-Advisor: the best stocks and funds in January

What stocks and funds were the best in January? 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 January were as it follows:

Company Score Perf. YTD Volatility Weekly VaR Market

EUROPE

Guerbet

10

17.26%

38.70%

-5.22%

Paris
Panariagroup

10

9.94%

34.10%

-4.54%

Mercato Continuo Italiano
Trigano

9.78

3.59%

32.42%

-5.15%

Paris
Plastic Omnium

9.78

2.93%

32.37%

-8.50%

Paris
Muhlbaer Holding

9.51

2.50%

25.98%

-6.13

Deutsche Boerse

USA

Integrated Electronics

9.79

6.41%

35.11%

-5.46%

Nasdaq
New Jersey Resources

9.45

6.71%

24.51%

-5.72%

NYSE
Pep Boys-Manny

9.44

0.38%

38.01%

-7.34%

NYSE
Intervest Bancshares

9.27

7.26%

20.25%

-2.92%

Nasdaq
Wuxi Pharmatech

9.24

36.16%

26.36%

-4.31%

Nasdaq

ASIA-PACIFIC

Daito Trust Construction

9.17

1.21%

22.48%

-5.88%

Tokyo
Fuji Electric

8.92

8.86%

17.25%

-4.06%

Tokyo
JB Hi-Fi

8.87

17.11%

25.17%

-5.78%

Australia
Sumimoto Osaka Cement

8.67

4.72%

25.58%

-5.96%

Tokyo
Japan Real Estate

8.50

1.36%

23.07%

-6.02%

Tokyo

LATAM

Campos Chilenos

10

6.67%

62.64%

-5.17%

Santiago de Chile
Bancolombia

7.90

2.38%

29.12%

-6.99%

Colombia
Paz Corp.

7.46

3.11%

21.02%

-3.92%

Santiago de Chile
Habitat

7.20

3.26%

13.41%

-3.48%

Santiago de Chile
Mineros

7.18

2.44%

27.48%

-8.02%

Colombia

The best funds in January were as it follows:

Fund Score Perf. YTD Volatility Weekly VaR Managing company

EQUITY FUNDS

Invesco Korean Equity Fund A

7.85

8.33%

26.85%

-7.86%

Invesco AM
MLIS M WT MKT N Shares-EUR A – CAPITALISATION

7.44

1.07%

3.77%

-0.88%

Merril Lynch Fund
OM GLB EQ AB RE — ACCUM.PTG.SHS — CLASS -I- EUR

7.32

0.44%

4.70%

-1.55%

Old Mutual Dublin
SISF Japanese Equity Alpha I

6.62

7.48%

18.20%

-4.77%

Schroder
AXA WF Human Capital F DIS EUR

6.61

17.47%

15.07%

-2.96%

AXA
AXA WF FRM Switzerland M CAP

6.41

1.38%

17.02%

-5.44%

AXA
AWF FRA AMER GR — Shares -A- — Capitalisation

6.40

11.12%

20.24%

-4.87%

AXA

FIXED-INCOME

BLACKROCK PY ST-SBI

8.55

1.71%

7.87%

-1.74%

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

7.90

3.11%

2.05%

-0.54%

Comp. Benjamin de Rothschild
AXA WF Global Aggregate Bonds M CAP USD Hedged USD

7.61

1.48%

2.79%

-0.64%

AXA
FC CART RT FJ DURAC – UNITS

7.04

0.77%

11.13%

-0.82%

Caixabank
BLKRK MUNASST

7.01

2.45%

8.42%

-1.89%

BlackRock
Carmignac Court Terme

6.91

0.05%

0.06&

0.00%

Carmignac
JPMF US Dollar Liquidity C – USD

6.82

0.01%

0.01%

0.00%

JP Morgan AM
PIMCO MUN INC-SBI

6.43

2.64%

8.39%

-2.07%

PIMCO Global Adv.
FONDEUDPUBINTER – UNITS

6.39

0.51%

5.33%

-1.02%

Caixabank

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

What stocks and funds were the best in December? 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 December were as it follows:

Company Score Perf. YTD Volatility Weekly VaR Market

EUROPE

Sysopen Digia

10

176.32%

33.08%

-5.31%

Helsinki
Agfa-Gevaert

10

146.08%

29.78%

-5.22%

Brussels
Trigano

10

144.76%

32.51%

-4.61%

Paris
Stedim

10

113.02%

26.18%

-5.39%

Paris
PCAS

10

110.16%

27.34%

-3.89%

Paris

USA

Amazon

10

117.74%

31.26%

-5.02%

Nasdaq
Cascades

10

75.26%

32.46%

-7.14%

Toronto
CCL Industries

10

74.32%

29.45%

-5.68%

Toronto
Acuity Brands

10

67.66%

24.49%

-4.92%

NYSE
Verisign

10

57.91%

21.85%

-4.30%

Nasdaq

ASIA

Ono Yakuhin

10

94.13%

34.17%

-6.70%

Tokyo
Kaneka

10

91.98%

26.75%

-5.31%

Tokyo
Toei

10

72.61%

33.11%

-6.08%

Tokyo
Shionogi

10

69.76%

29.99%

-5.10%

Tokyo
Marui

10

67.18%

35.05%

5.75%

Tokyo

LATAM

Oro Blanco

6.63

26.26%

50.51%

-11.80%

Santiago de Chile
Cervecerías

6.25

33.11%

25.79%

-5.33%

Santiago de Chile
Edelnor

5.71

11.63%

15.64%

-4.01%

Santiago de Chile
Inversiones Agua

5.71

5.26%

8.33%

1.89%

Santiago de Chile
Embotelladora Andina

5.61

28.74%

25.98%

-4.81%

Santiago de Chile

The best funds in December were as it follows:

Fund Score Perf. YTD Volatility Weekly VaR Managing company

EQUITY FUNDS

JPMF India

9.77

3.84

17.84%

-4.32%

JP Morgan Asset
JPMF Pacific

9.76

3.90%

13.90%

-4.01%

JP Morgan Asset
JPMF US

9.70

0.24%

13.09%

-3.21%

JP Morgan Asset
AXA Europe Small Cap

9.69

36.67%

12.11%

-1.81%

AXA
Inv 3 Global Tech

9.66

4.82%

15.44%

-3.90%

Invesco Asset
AXA World Fund Talents

9.66

20.18%

16.58%

-3.68%

AXA

FIXED-INCOME

BLKRKMUNASST

9.18

1.74%

8.31%

-1.89%

BlackRock
JP Morgan US Bond

8.95

1.94%

2.81%

-0.58%

JP Morgan Asset
BlackRock PY ST-SBI

8.55

1.71%

7.87%

-1.74%

BlackRock
SISF AS CON BD

8.47

4.95%

8.16%

-1.40%

Schroder
SISF Global Conver.

8.32

3.01%

6.63%

-1.61%

Schroder
SISF Asian Convert.

8.31

6.88%

8.18%

-1.37%

Schroder

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

What stocks and funds were the best in November? 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 November were as it follows:

Company Score Perf. YTD Volatility Weekly VaR Market

EUROPE

Sysopen Digia

10

176.32%

33.41%

-5.31%

Helsinki
Agfa-Gevaert

10

116.70%

31.10%

-6.24%

Brussels
Done Solutions

10

115.81%

35.38%

-6.34%

Helsinki
Stedim

10

110.79%

25.42%

-5.31%

Paris
Alti SGPS

10

105.40%

34.01%

-7.14%

Lisbon

USA

Total System Services

10

57.77%

14.85%

-3.51%

NYSE
Tyler Technologies

10

56.51%

25.97%

-4.83%

NYSE
Flagstar Bancorp

10

51.62%

24.78%

-5.29%

NYSE
Verisign

10

47.23%

19.26%

-3.80%

Nasdaq
Cantel Medical

10

46.80%

23.87%

-5.43%

NYSE

ASIA

Lion Corp

10

92.22%

28.04%

-5.13%

Tokyo
Yamaha

10

76.60%

30.23%

-5.30%

Tokyo
Sundrug

10

54.00%

29.45%

-6.91%

Tokyo
Nichirei

10

53.75%

27.15%

-5.35%

Tokyo
Nissan Chemical Industries

10

47.05%

27.54%

-5.66%

Tokyo

LATAM

Edelnor

8.43

12.00%

16.29%

-4.01%

Santiago de Chile
Embotelladora Andina

7.59

32.47%

25.51%

-4.22%

Santiago de Chile
Banco de Chile

6.55

5.95%

8.10%

-1.92%

Santiago de Chile
PVD US ADR

6.34

15.05%

8.96%

-1.74%

Sistema Internac. de Cotiz.

The best funds in November were as it follows:

Fund Score Perf. YTD Volatility Weekly VaR Managing company

EQUITY FUNDS

Schroder ISF Japanese Smaller Companies

9.91

23.28%

15.16%

-4.46%

Schroder Investments
Agif Japan EQ Shares

9.90

33.95%

18.02%

-4.47%

Allianz
Gam Star Japan Equity

9.86

14.88%

18.69%

-5.16%

GAM
FF-Japan Advantage

9.81

13.50%

18.75%

-6.74%

Fidelity
FF-Global Technology

9.81

24.69%

20.03%

-4.14%

Fidelity
Pictet Funds – Japanese Equities

9.80

14.46%

17.03%

-5.52%

Pictet
Fidelity Funds – Technology Fund A

9.80

23.89%

20.02%

-4.17%

Fidelity
JPMF Funds – Pacific Equity

9.79

4.15%

13.53%

-4.00%

JP Morgan
BGF World Technology Fund E2

9.79

4.53%

14.85%

-3.21%

BlackRock

FIXED-INCOME

BKRK MNYD MC II

9.80

3.81%

9.28%

-1.43%

BlackRock
SISF Global Convertible Bond I

9.62

5.22%

6.64%

-1.59%

Schroder Investments
SISF Asia Convertible Bond

9.60

7.27%

8.22%

-1.37%

Schroder Investments
BKRK MNHD NY QT

9.56

0.00%

8.80%

-2.57%

BlackRock
DWS Mun INC

9.46

1.05%

7.92%

-2.12%

BlackRock
Salar Accum Shares Class E3

9.40

2.89%

4.36%

-0.88%

Salar Fund
JPMF – Global Convertible Funds

9.39

2.66%

6.11%

-1.47%

JP Morgan
BLKRK Munivest II

9.28

0.45%

9.72%

-2.31%

BlackRock

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

What stocks and funds were the best in October? 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 October were as it follows:

Company Score Perf. YTD Volatility Weekly VaR Market

EUROPE

Artec Technologie

10

430.32%

76.69%

-8.10%

Deutsche Boerse
Koenig & Bauer

10

175.80%

41.22%

-8.25%

Deutsche Boerse
Sysopen Digia

10

110.90%

32.45%

-6.33%

Helsinki
Pfeiffer Vaccum

10

62.82%

25.43%

-4.63%

Deutsche Boerse
PCAS

10

58.55%

26.45%

-4.27%

Euronext Paris

USA

Central Garden and Pet

10

97.38%

34.58%

-6.57%

Nasdaq
TRC Companies

10

75.23%

46.71%

-8.96%

NYSE
Nexmed Inc

10

55.00%

77.27%

-18.42%

Nasdaq
Cameron International

10

30.95%

50.09%

-10.32%

NYSE
AAC Pericom Semiconductor

10

29.61%

45.94%

-6.30%

Nasdaq

ASIA

Asanuma

10

103.79%

44.85%

-5.51%

Tokyo
Geely Auto

10

53.84%

54.95%

-14.47%

Hong Kong
Tom Group

10

33.33%

47.45%

-8.59%

Hong Kong
Min Xin Holdings

9.87

11.88%

41.94%

-8.13%

Hong Kong
JEOL

9.76

9.63%

36.21%

-6.80%

Tokyo

LATAM

Embotelladora Andina

9.65

46.05%

27.20%

-5.03%

Santiago de Chile
Cervecerías Unidas

9.29

38.13%

23.71%

-4.71%

Santiago de Chile
Embonor

9.26

36.91%

25.10%

-4.89%

Santiago de Chile
Empresas CMPC

8.30

20.90%

17.91%

-3.46%

Santiago de Chile
Edelnor

8.08

12.20%

16.41%

-4.01%

Santiago de Chile

The best funds in October were as it follows:

Fund Score Perf. YTD Volatility Weekly VaR Managing company

EQUITY FUNDS

Frnkln Ind Blu – Gr

7.87

4.40%

13.93%

-3.41%

Franklin Templeton
AXA Pacific Ex-Japan Small Cap Alpha Fund Class Class M USD ACCM

7.34

1.61%

15.21%

-3.76%

AXA
R Cap As-Pac Eq — Shs -D USD- — Capitalisation

6.66

1.92%

15.63%

-3.24%

Robeco
BBVA DOBLE BENEFICIO

6.51

9.11%

12.55%

-2.65%

BBVA Gestión
JPM UK Sml Ac-C-Ins

6.40

20.43%

6.37%

-1.08%

JP Morgan AM
AXA WF Frm Europe Real Estate I CAP EUR HEDGED EUR

6.73

10.86%

15.49%

-3.49%

AXA
AIIS Eu Mic Cap — Shs -W- — Distribution

6.40

17.81%

9.27%

-2.12%

Allianz
M&G EUROPEAN SM CO-£-X-ACC

6.40

12.60%

9.71%

-2.08%

M&G Investments
Fid Special Sit Acc

6.40

8.94%

9.84%

-2.55%

Fidelity
Invesco Gl Struc Eq — Shs -A- — Distribution

6.40

3.80%

10.67%

-2.54%

Invesco AM

FIXED-INCOME

Fc Cart Rt Fj Durac – Units

9.40

12.02%

10.99%

-0.63%

Caixabank
Nuveen Ca Perf Plus

7.53

1.66%

8.72%

-2.29%

BlackRock
CAJA MADRID RENTAS I 2038 FI

7.20

4.22%

4.36%

-0.05%

Bankia Fondos
FonDeudPubInter – Units

7.11

13.74%

6.30%

-1.01%

Caixabank
Templeton Global Bond (Euro) Fund I

7.08

2.78%

4.14%

-1.14%

Franklin Templeton
Montgomery St In Se

7.01

7.55%

6.04%

-1.15%

BlackRock
Av I Lg Eu Bd — Shs -A- — Capitalisation

6.94

2.41%

10.80%

-2.96%

Aviva
Pioneer SF – Euro Extra Long Term Bond  Class F Non – Distributing EUR

6.81

1.70%

11.44%

-3.15%

Pioneer
AXA WF EURO 10+LT M Cap EUR

6.58

2.78%

10.32%

-2.91%

AXA

 

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

What stocks and funds were the best in September? 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 September were as it follows:

Company Score Perf. YTD Volatility Weekly VaR Market

EUROPE

Digital Bros

10

306.26%

46.33%

-8.07%

Mercato Continuo Italiano
artec technologie

10

293.47%

58.29%

-8.10%

Deutsche Boerse
Koenig & Bauer

10

172.98%

40.92%

-7.08%

Deutsche Boerse
Stroeer Media

10

120.59%

34.79%

-8.70%

Deutsche Boerse
Lingotes Especiales

10

116.16%

34.55%

-5.24%

SIBE Mercado Continuo

USA

Exelixis

10

331.25%

68.13%

-11.91%

Nasdaq
Abiomed Inc.

10

163.50%

54.20%

-7.12%

Nasdaq
Tree.com

10

139.61%

60.81%

-11.85%

Nasdaq
Dot Hill System

10

119.45%

74.16%

-10.69%

Nasdaq
Incyte

10

79.82%

39.38%

-6.66%

Nasdaq

ASIA

Asanuma

10

93.67%

46.23%

-6.70%

Tokyo
Itoki

10

28.06%

35.31%

-7.62%

Tokyo
Chiyoda

9.97

54.08%

25.51%

-6.34%

Tokyo
Furukawa

9.78

23.44%

26.07%

-7.11%

Tokyo
Ono Yakuhin Kogyo

9.75

46.31%

36.02%

-7.12%

Tokyo

LATAM

Embotella Andina

8.85

44.00%

32.65%

-9.69%

Santiago de Chile
Socovesa

8.58

10.61%

28.66%

-6.06%

Santiago de Chile
Embonor

8.12

33.92%

21.52%

-4.14%

Santiago de Chile
Edelnor

7.76

8.70%

17.79%

-4.08%

Santiago de Chile
Empresas CMPC

6.64

20.94%

18.46%

-3.71%

Santiago de Chile

The best funds in September were as it follows:

Fund Score Perf. YTD Volatility Weekly VaR Managing company

EQUITY FUNDS

Franklin European Small-Mid Cap Growth Fund I(acc) USD

8.18

14.75%

13.85%

-3.39%

Franklin Templeton
JPM UK Sml Co-X-Ins

8.16

19.33%

9.86%

-2.14%

JP Morgan
NORDINTERNET T

7.61

18.16%

23.26%

-6.53%

Pioneer
MLIS M WT Mkt N — Shs -EUR A (acc)- — Capitalisation

7.46

6.14%

3.66%

-0.59%

Merril Lynch
New Ireland Fund

6.75

11.41%

13.27%

-3.59%

BlackRock
AXA WF Frm Europe Real Estate I CAP EUR HEDGED EUR

6.73

10.86%

15.49%

-3.49%

AXA
Acatis CS ADELM — Units – Capitalisation

6.69

12.67%

13.81%

-3.40%

Wallberg Invest
Axa World Fund Aedificandi F Dist EUR

6.57

11.92%

17.05%

-3.36%

AXA
BNY Abs Ret Eq — Shs — Class -T- (Hedged) EUR

6.44

2.15%

1.79%

-0.36%

BNY Mellon
JPMF Gl Health — Shs -JPM D (acc) USD- — Capitalisation

6.40

4.33%

13.06%

-2.88%

JP Morgan

FIXED-INCOME

Montgomery St In Se

7.96

6.63%

6.24%

-1.15%

BlackRock
AXA WF EURO 10+LT M Cap EUR

7.77

0.45%

10.21%

-2.91%

AXA
FonDeudPubInter – Units

7.22

12.65%

6.46

-1.25%

Caixabank
Invesco Bond Fund [Dub] I

7.11

7.05%

9.30%

-2.20%

Invesco
M&G GILT & FIX INT-£-A-ACC

7.10

1.02%

6.65%

-1.59%

M&G Investments
JPMorgan Funds – Global Government Bond Fund

6.94

0.40%

3.25%

-0.77%

JP Morgan
AXA WF Global Inflation Bonds M Cap EUR EUR

6.86

1.26%

5.60%

-1.37%

AXA
Invesco Global Investment Grade Corporate Bond Fund- Accum [Lux] E

6.80

7.39%

12.25%

-2.84%

Invesco
M&G EUROPEAN HI YLD-€-A-ACC

6.79

3.07%

4.29%

-1.00%

Allianz

 

Weekly market opportunities in T-Advisor: the best on July, 13th

T-Advisor updates weekly a list of market opportunities from several stock exchanges around the world. We sum up a selection of the best ones:

EUROPE

  • Novo Nordisk (Copenhaguen). A healthcare company specialised in chronic diseases, as diabetes, haemophilia, growth disorders and obesity.

Novo Nordisk main figures in T-Advisor

Novo Nordisk chart in T-Advisor

  • Lagardere Groupe (Paris). A content production and distribution group with the third world largest publishing house, several media and a wide network of press distribution and duty-frees.

Lagardere Groupe main figures in T-Advisor

Lagardere Groupe chart in T-Advisor

AMERICAS

  • Cerner (Nasdaq). A company specialised in solutions for the health care industry, as medical devices and clinical systems for drug production.

Cerner main figures in T-Advisor

Cerner chart in T-Advisor

  • Cetip (Sao Paulo). A company that offers services related to registration, central securities depository (CSD), trading and settlement of assets and securities.

Cetip main figures in T-Advisor

Cetip chart in T-Advisor

ASIA-PACIFIC

  • Aselsan (Istanbul). A corporation that produces tactical military radios and defense electronic systems for the Turkish Armed Forces.

Aselsan main figures in T-Advisor

Aselsan chart in T-Advisor

  • Telstra (Australia). The leading provider of mobile phones, mobile devices, home phones and broadband internet in Australia.

Telstra main figures in T-Advisor

Telstra chart in T-Advisor

Find more opportunities from the main exchanges in the world on our module “Market opportunities” in T-Advisor.

Global market trends: markets in the second quarter

Trends in the second quarter of the year have been dominated by the Greek crisis. After the election of left-wing party Syriza, Greece and the UE tightened the negotiations about the payment of the debt. The result is already known: Greece defaulted the IMF. The crisis is not only for the Greeks, but also for the whole European system, as one of the partners of the Euro did not follow the established rules. What will be the next? Referendum in Greece? Grexit? New elections? The future is more open than ever. We can read several articles in the media with both positions blaming the troika and the Greek government for the current situation.

Regional global trends in T-Advisor

Generally speaking, there are some differences between the market evolution in US and Asia, on one side, and Europe and Latam, on the other side. The evolution in Europe swung depending the news around Greece, what has altered a regular trend: sudden ups and downs happened when somebody came with a new statement or rumour. Above all, investors in Greece did not experience the best results, as this T-Advisor chart shows:

5-year Greek stock exchange evolution

In Latam, the troubles in the stock exchanges are linked with the strength of the dollar. These countries are very dependant from commodities and exports are being punished by the strong greenback, that rises against all currencies as the Euro weakens and the US Federal Reserve considers hiking rates.

The more positive regions are US and Asia, but the improvement in the markets has also shadows. Asia is the region where there are more alerts. The overheated Chinese stock exchange in this year has begun to fall severely. Recent measures, as a rate cut, were not enough. Shanghai has felt a 25% since the peak on June, the 12th, and the effects are still to watch.

5-year Shanghai stock exchange evolution

Finally, US plays with strong figures and the stock exchanges are counting them. However, there are still doubts about a possible rate hike, because the Federal Reserve stated that they need more evidences about the improvement of the labour market. The next job reports in US can be decisive to preview the chances of an increase of the rates, which will can move strongly all markets (stocks, debt and currencies). Well, investor, be ready, because the road has bends.