Aiolux.com: Compare Stocks, ETFs, Crypto Side by Side | Aiolux (2024)



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Data updated 2024-Mar-04 (Monday). Similar reports analyzed 46,387 times in last 24 hours by visitors

Compare [AAPL] Apple Inc. with [MSFT] Microsoft Corp. (EXAMPLES) side by side across multiple time-frames, technicals & financials as of market close on 2024-Mar-04 (Monday) . To compare performance using custom dates or benchmarking with a custom security, try alternate view

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Select multiple symbols to compare. Search by Symbol or Name. Leaving text field blank removes any existing symbol after clicking Compare

  • Performance
  • Technicals
  • Financials

Choose comparison dimension

Values adjusted for splits as applicable. Hover on cells below for additional contextual info

Apple Inc. Microsoft Corp.
Sector Information Technology Information Technology
Industry Hardware & Equipment Applications & Productivity
Change -2.55% -0.14%
Volatility 1.79% 1.22%
Streak ↓ 4 days -4.13% ↓ 1 days -0.14%
Relative Volume 0.91x 0.90x
5-d Change

-3.4% 1.24x 20% ↑80% ↓

+1.8% 0.96x 60% ↑40% ↓

10-d Change

-4.0% 1.08x 30% ↑70% ↓

+2.7% 0.94x 40% ↑60% ↓

20-d Change

-5.8% 1.02x 35% ↑65% ↓

+0.9% 0.93x 40% ↑60% ↓

30-d Change

-8.6% 1.03x 33% ↑67% ↓

+4.1% 1.03x 47% ↑53% ↓

50-d Change

-11.1% 1.01x 34% ↑66% ↓

+11.2% 0.90x 54% ↑46% ↓

100-d Change

-2.2% 0.97x 45% ↑55% ↓

+25.8% 0.99x 57% ↑43% ↓

200-d Change

+1.7% 0.99x 52% ↑49% ↓

+33.1% 0.97x 57% ↑44% ↓

MTD Change

-3.1% 0% ↑100% ↓

+0.3% 50% ↑50% ↓

QTD Change

-9.1% 35% ↑65% ↓

+10.3% 51% ↑49% ↓

YTD Change

-9.1% 35% ↑65% ↓

+10.3% 51% ↑49% ↓

52wk Change

+15.9% 51% ↑49% ↓

+62.5% 55% ↑45% ↓

Related Links Performance
Technicals
Correlations
Seasonality
Historical Analogues AI
Chart Pattern Matching AI
Performance
Technicals
Correlations
Seasonality
Historical Analogues AI
Chart Pattern Matching AI

Comparing 3-month performance for Apple Inc. & Microsoft Corp. :




Related Links

Dashboard : Market Pulse using broad themes (e.g. Growth vs. Value, Equities vs. Treasuries etc.)
Snapshots : Popular lists of stocks & etfs (best streaks, most beaten down etc. in last X days)
Market Performance : Recent performance across covered assets
Historical Performance : Prior & Subsequent performance across assets on a historical date
Market Technicals : Technical indicator levels across covered assets
Market Seasonality : Seasonal performance by calendar months across covered assets
Performance Comparison : Chart compare/benchmark performance with multiple assets over time
Side-by-Side Comparison : Contrast with other assets over time in a side-by-side presentation Currently Viewing
Sector : Analyze & compare Sector performance
Industry : Analyze & compare Industries within Sectors
: Identifying stocks/etfs which recently traded up/down in unusually elevated volumes
Swing Volatility : Identifying stocks/etfs with elevated volatility
World Explorer : Performance & Correlation between key countries across the world
Advance/Decline : Sentiment using accumulated advances & declines in S&P 500 stocks
Highs/Lows : Sentiment using frequency of key highs/lows in S&P 500 stocks
Moving Average : Sentiment using frequency of S&P 500 stocks above key moving averages
Technical Distribution : Sentiment using frequency distribution of S&P 500 stocks with bullish/bearish technical levels

Analyze market in multiple dimensions using above resources

Guide

  • Compare stocks & ETFs side-by-side across a variety of performance metrics and technical indicators
    - Hover on table cells for additional contextual details
    - Compare returns over different timespans using bottom chart functionality

  • Unusual technical indicator levels are typically color coded for quick analysis
    - Indicators like RSI, Fast/Slow Stochastic Oscillators & CCI are formatted for overbought /oversold conditions
    - Indicators like MACD & ADX are formatted for bullish/bearish momentum
    - Indicators like OBV & Chaikin AD are formatted for buying/selling pressure
    - ATR is formatted for elevated volatility

  • Details on calculation and formatting for Technicals. All technicals are calculated using daily values
    - RSI: Relative Strength Index is calculated using average daily close values and uses the standard 14 period time window to calculate the average gain/loss for the initial value. RSI is formatted for overbought (> 70)/oversold (< 30) conditions
    - MACD Delta = MACD - MACD EMA signal line. Moving Average Convergence Divergence is calculated using the 12 & 26-period Exponential Moving Averages (EMA) of daily close levels. MACD Signal is calculated using the 9-period EMA of MACD. MACD Delta is formatted for Bullish momentum (> 0) & Bearish momentum (< 0)
    - Fast Stochastic Oscillator is calculated using 14-period range to calculate %K and 3-period Simple Moving Average (SMA) to calculate %D.
    - Slow Stochastic Oscillator is calculated using the %D from earlier as Slow K and Slow D is calculated by futher applying a 3-period SMA on the Slow K(%D)
    - Fast & Slow Stochastic: Fast & Slow Stochastic Oscillator are formatted for overbought(> 80) / oversold(< 20) conditions
    - ADX : Average Directional Movement index uses plusDI and minusDI calculated using a 14 period Exponential Moving Average (EMA). ADX is formatted for strong momentum of current trend when > 25
    - CCI : Commodity Channel Index calculation is based on 20 daily periods. CCI is formatted for overbought / oversold conditions based on dynamically determinations from recent 1-year peaks and troughs for each individual security
    - ATR : Average True Range calculation is based on 14 daily period Exponential Moving Average (EMA) of the true range. High Volatility levels are dynamically determined from the top quartile of recent ATR values. ATR is formatted for elevated (blue) volatility based on recent history for each security
    - AD : Chaikin Accumulation Distribution looks at the close with respect to the daily high-low range using standard calculations for calculating Money Flow multiplier and Accumulation/Distribution. AD is formatted based on recent historic levels for each security. Purple for top quartile; Orange for bottom quartile
    - OBV : On Balance Volume looks at the days close compared to prior close. OBV is formatted based on recent historic levels for each security. Purple for top quartile; Orange for bottom quartile

  • Investors often use Contrasts provide an easy way to compare potential investments
    - To compare performance for other timespans using advanced features (e.g. benchmarking) use Custom Comparisons
  • Users typically use data on this page in the above ways. This is not an exhaustive list. For Informational purposes only. Aiolux does NOT provide Investment Advice

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    Aiolux.com: Compare Stocks, ETFs, Crypto Side by Side | Aiolux (2024)

    FAQs

    What is the best ETF to buy right now? ›

    The best ETFs to buy now
    Exchange-traded fund (ticker)Assets under managementExpenses
    Vanguard 500 Index ETF (VOO)$432.2 billion0.03%
    Vanguard Dividend Appreciation ETF (VIG)$76.5 billion0.06%
    Vanguard U.S. Quality Factor ETF (VFQY)$333.3 million0.13%
    SPDR Gold MiniShares (GLDM)$7.4 billion0.10%
    1 more row

    Why buy ETFs instead of stocks? ›

    Diversification. Passive, or index, ETFs generally track and aim to outperform a benchmark index. They provide access to many companies or investments in one trade, whereas individual stocks provide exposure to a single firm.

    Is it worth investing in ETFs? ›

    For most individual investors, ETFs represent an ideal type of asset with which to build a diversified portfolio. In addition, ETFs tend to have much lower expense ratios compared to actively managed funds, can be more tax-efficient, and offer the option to immediately reinvest dividends.

    How many ETFs should I invest in? ›

    Experts agree that for most personal investors, a portfolio comprising 5 to 10 ETFs is perfect in terms of diversification.

    Which ETF gives the highest return? ›

    6 Best Performing ETFs last 10 years in India
    • Nippon India ETF Nifty 50 BeES. 102.38% 707.9%
    • Nippon India ETF Gold BeES. 99.57% 467.4%
    • Invesco India Gold ETF. 107.00% 288.0%
    • UTI S&P BSE Sensex ETF. 95.56% 200.8%
    • BHARAT 22 ETF. 161.65% 172.2%
    • Nippon India ETF PSU Bank BeES.
    Mar 27, 2024

    What ETF makes the most money? ›

    100 Highest 5 Year ETF Returns
    SymbolName5-Year Return
    XLGInvesco S&P 500® Top 50 ETF18.59%
    SPMOInvesco S&P 500® Momentum ETF18.31%
    AIQGlobal X Artificial Intelligence & Technology ETF17.88%
    XMHQInvesco S&P MidCap Quality ETF17.87%
    93 more rows

    What is the downside of owning an ETF? ›

    The single biggest risk in ETFs is market risk. Like a mutual fund or a closed-end fund, ETFs are only an investment vehicle—a wrapper for their underlying investment. So if you buy an S&P 500 ETF and the S&P 500 goes down 50%, nothing about how cheap, tax efficient, or transparent an ETF is will help you.

    What is the primary disadvantage of an ETF? ›

    Buying high and selling low

    At any given time, the spread on an ETF may be high, and the market price of shares may not correspond to the intraday value of the underlying securities. Those are not good times to transact business.

    Should I put all my money in ETFs? ›

    You expose your portfolio to much higher risk with sector ETFs, so you should use them sparingly, but investing 5% to 10% of your total portfolio assets may be appropriate. If you want to be highly conservative, don't use these at all.

    Can an ETF go to zero? ›

    For most standard, unleveraged ETFs that track an index, the maximum you can theoretically lose is the amount you invested, driving your investment value to zero. However, it's rare for broad-market ETFs to go to zero unless the entire market or sector it tracks collapses entirely.

    What is the safest ETF? ›

    Vanguard S&P 500 ETF

    Exchange-traded funds (ETFs) are one of the safer types of investments out there, as they require less effort than investing in individual stocks while also increasing diversification.

    How long should you hold an ETF? ›

    Holding an ETF for longer than a year may get you a more favorable capital gains tax rate when you sell your investment.

    What is the best ETF to buy and hold? ›

    • Vanguard S&P 500 ETF (VOO)
    • Schwab U.S. Small-Cap ETF (SCHA)
    • iShares Core S&P Mid-Cap ETF (IJH)
    • Invesco QQQ Trust (QQQ)
    • Vanguard High Dividend Yield ETF (VYM)
    • Vanguard Total International Stock ETF (VXUS)
    • Vanguard Total World Stock ETF (VT)
    Apr 24, 2024

    Which ETFs are best? ›

    Two of the most popular ETFs include index funds based on the Standard & Poor's 500 index and the Nasdaq 100 index, which contain high-quality businesses listed on American exchanges: Vanguard S&P 500 ETF (VOO), with an expense ratio of 0.03 percent. Invesco QQQ Trust (QQQ), with an expense ratio of 0.20 percent.

    What is a good balance of ETFs? ›

    A conservative balanced fund might allocate 35% to bond ETFs and 65% to stock ETFs, for example.

    What is the top 3 ETF? ›

    Top U.S. market-cap index ETFs
    Fund (ticker)YTD performanceExpense ratio
    Vanguard S&P 500 ETF (VOO)11.1 percent0.03 percent
    SPDR S&P 500 ETF Trust (SPY)11.0 percent0.095 percent
    iShares Core S&P 500 ETF (IVV)10.3 percent0.03 percent
    Invesco QQQ Trust (QQQ)11.6 percent0.20 percent

    What ETF outperforms the S&P 500? ›

    3 Powerhouse Growth ETFs With a History of Outperforming the S&P...
    • Vanguard Growth ETF. The Vanguard Growth ETF (NYSEMKT: VUG) is a large-cap growth fund containing stocks with the potential for above-average earnings. ...
    • Schwab U.S. Large-Cap Growth ETF. ...
    • Invesco QQQ Trust.
    1 day ago

    Which ETF has the highest yield? ›

    Top 100 Highest Dividend Yield ETFs
    SymbolNameDividend Yield
    AMDYYieldMax AMD Option Income Strategy ETF51.44%
    OARKYieldMax Innovation Option Income Strategy ETF47.27%
    NFLYYieldMax NFLX Option Income Strategy ETF43.07%
    SQYYieldMax SQ Option Income Strategy ETF41.54%
    93 more rows

    Which ETF will grow the most? ›

    Compare the best growth ETFs
    FUND(TICKER)EXPENSE RATIO10-YEAR RETURN AS OF JUNE 3
    Vanguard Growth ETF (VUG)0.04%15.07%
    iShares Russell 1000 Growth ETF (IWF)0.19%15.78%
    iShares S&P 500 Growth ETF (IVW)0.18%14.34%
    Schwab U.S. Large-Cap Growth ETF (SCHG)0.04%15.95%
    3 more rows

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