Mingdom Alpha
as of 2026-07-21 3:45 PM PDT
Data as of
2026-07-21 3:45 PM PDT
Web data generated
2026-07-21 3:45 PM PDT
Alpha report generated
2026-07-21 3:45 PM PDT
Alpha web build revision ff62eb4eeaa6

Mingdom Alpha

Market Regime
Risk Onbudget: Selective · breadth: Mixed · as of 2026-07-21
Details

Data Warnings

  • Price panel is mixed-date; treat breadth as approximate until prices align.

Market Diagnostics

  • 50d and 200d breadth have material disagreement; do not collapse them into one risk-on/off read.

Playbook Policy

Risk BudgetSelective

Active portfolio exposure target settings.

Style TiltValue

value proxy leadership is strongest in current benchmark rows.

ContinuationSelective

continuation tape with mixed breadth and selective risk budget.

ReversalSelective

Reversal permission follows continuation behavior; risk budget is selective.

Extended MomentumSelective

Extended momentum needs broad, confident risk-on tape.

Model TrustSelective Cross Check

Use Alpha Rank and RS Rank together when regime and breadth are supportive.

Market Health & Breadth

20d EMA BreadthPercentage of active tickers trading above their 20-day Exponential Moving Average (short-term momentum).
328 / 618 (53.1%)
2 Closes Below 20d EMAPercentage of active tickers with 2 consecutive daily closes below their 20-day EMA (short-term weakness).
224 / 618 (36.2%)
50d SMA BreadthPercentage of active tickers trading above their 50-day Simple Moving Average (medium-term trend).
59.2%
200d SMA BreadthPercentage of active tickers trading above their 200-day Simple Moving Average (long-term structural trend).
61.4%
Both 50d & 200dPercentage of active tickers trading above both their 50-day SMA and 200-day SMA.
279 / 617 (45.2%)
50d / 200d DisagreementPercentage of active tickers with conflicting trend directions (above 50d but below 200d, or vice versa).
187 / 617 (30.3%)
Median 3m ReturnThe midpoint of 3-month trailing returns across the active coverage universe.
2.5%
Return DispersionThe standard deviation or spread of returns across tickers, showing market rotation and polarization.
425.3%

Data Freshness

Latest date
2026-07-21
Stale rows
363 / 618 (58.7%)
Oldest date
2026-07-02

ETF Trend Tape

ETFRoleState1m3mVs SPY20d50d200d
SPYMarket BetaUptrend0.2%5.6%0.0%YYY
QQQGrowth BetaPullback-4.3%9.6%+4.0%2d belowNY
IWMSmall Cap RiskUptrend0.3%6.9%+1.3%YYY
RSPEqual Weight BreadthUptrend1.3%4.4%-1.2%YYY
VUGGrowth StylePullback-1.0%4.9%-0.7%YNY
VTVValue StyleUptrend1.0%7.0%+1.5%YYY
MTUMMomentum FactorPullback-7.1%15.0%+9.4%2d belowNY
QUALQuality FactorUptrend1.0%5.6%+0.0%YYY
USMVDefensive FactorPullback2.5%1.9%-3.7%2d belowYY
SMHSemiconductor LeadershipPullback-11.5%25.9%+20.3%2d belowNY
IGVSoftware LeadershipDowntrend3.1%6.4%+0.8%NNN
XLFFinancials SectorUptrend4.7%6.6%+1.0%YYY
XLIIndustrials SectorPullback-1.2%2.7%-2.8%2d belowYY
XLYDiscretionary SectorDowntrend-2.0%-4.2%-9.8%2d belowNN
XLPStaples SectorPullback0.9%2.0%-3.6%NNY
XLVHealthcare SectorUptrend7.3%8.7%+3.1%YYY
XLUUtilities SectorPullback0.4%-1.8%-7.4%2d belowYY
XLEEnergy SectorUptrend8.8%6.2%+0.6%YYY
HYGCredit RiskDowntrend-0.4%-1.2%-6.7%2d belowNN
LQDCredit QualityDowntrend-2.0%-2.9%-8.5%2d belowNN
TLTDuration Risk OffDowntrend-3.6%-3.9%-9.5%2d belowNN
IEFRates ContextDowntrend-1.1%-2.6%-8.2%2d belowNN

Leading Groups

Group3m50d200dN
Semiconductors14.1%15.2%90.6%33
Financials8.3%78.3%67.4%46
Financial Services7.5%82.4%73.5%34
Healthcare7.5%82.6%65.2%69
Consumer Defensive6.5%74.3%57.1%35

Lagging Groups

Group3m50d200dN
Technology-6.4%38.2%54.5%55
Communication Services-5.7%44.8%37.9%29
Energy-3.5%52.0%72.0%25
Consumer Cyclical-2.3%59.0%44.3%61
Utilities-2.1%67.6%73.5%34
Computed Labels
LabelValueReason
Risk budgetSelective-
Market riskRisk On-
Breadth stateMixed-
ContinuationSelectivecontinuation tape with mixed breadth and selective risk budget.
ReversalSelectiveReversal permission follows continuation behavior; risk budget is selective.
Extended momentumSelectiveExtended momentum needs broad, confident risk-on tape.
StyleValuevalue proxy leadership is strongest in current benchmark rows.
TrustSelective Cross CheckUse Alpha Rank and RS Rank together when regime and breadth are supportive.

Alpha Rank

Ranked by market RS. Core score remains visible as a secondary lens. · 1 shown · as of 2026-07-21 · filter: any RS.

Core firstRS first
FiltersAny RS · active · Financial Services · Insurance - Diversified · 1 stocks
RSRS ≥ 700Any RS1
SetupActive1Reversal1Continuation0
BusinessReset1
#Displayed row position.TickerCoreCore: pure Alpha model score. Click to sort Core first; the default table order is RS first.RSRS Rank: pure stock-vs-market relative strength percentile. Click to sort.BusinessClick sector or industry to filter peers. Click again to clear that facet.
1newNew to listHIGThe Hartford Financial Services Group, Inc.Sector: Financial ServicesIndustry: Insurance - DiversifiedOpen HIG on Seeking Alpha in a new tab.52-Week Range Position: 90%. Current price location relative to the 52-week low (0%) and 52-week high (100%).The Hartford Financial Services Group, Inc.Financial ServicesInsurance - DiversifiedCore 80.0RS 54.880.054.8The Hartford Financial Services Group, Inc.Financial ServicesInsurance - Diversified