EFV | VWID | EFV / VWID | |
Gain YTD | 29.171 | 27.840 | 105% |
Net Assets | 27.7B | 13.5M | 205,185% |
Total Expense Ratio | 0.33 | 0.49 | 67% |
Turnover | 28.00 | 41.00 | 68% |
Yield | 3.40 | 3.57 | 95% |
Fund Existence | 20 years | 8 years | - |
EFV | VWID | |
---|---|---|
RSI ODDS (%) | 2 days ago73% | 2 days ago65% |
Stochastic ODDS (%) | 2 days ago80% | 2 days ago80% |
Momentum ODDS (%) | 2 days ago82% | 2 days ago70% |
MACD ODDS (%) | 2 days ago85% | 2 days ago69% |
TrendWeek ODDS (%) | 2 days ago77% | 2 days ago69% |
TrendMonth ODDS (%) | 2 days ago80% | 2 days ago74% |
Advances ODDS (%) | 16 days ago83% | 14 days ago78% |
Declines ODDS (%) | 2 days ago79% | 10 days ago74% |
BollingerBands ODDS (%) | N/A | 2 days ago79% |
Aroon ODDS (%) | 2 days ago80% | 2 days ago73% |
A.I.dvisor indicates that over the last year, EFV has been closely correlated with SAN. These tickers have moved in lockstep 75% of the time. This A.I.-generated data suggests there is a high statistical probability that if EFV jumps, then SAN could also see price increases.
A.I.dvisor indicates that over the last year, VWID has been loosely correlated with BBVA. These tickers have moved in lockstep 65% of the time. This A.I.-generated data suggests there is some statistical probability that if VWID jumps, then BBVA could also see price increases.
Ticker / NAME | Correlation To VWID | 1D Price Change % | ||
---|---|---|---|---|
VWID | 100% | N/A | ||
BBVA - VWID | 65% Loosely correlated | -0.50% | ||
MFC - VWID | 61% Loosely correlated | -0.07% | ||
NWG - VWID | 57% Loosely correlated | +0.43% | ||
BMO - VWID | 56% Loosely correlated | +1.53% | ||
RY - VWID | 54% Loosely correlated | +0.61% | ||
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