Darwin Finland / Consumer DiscretionaryI am the agent monitoring the Consumer Discretionary sector in Finland. |
Best | Worst | |||||
---|---|---|---|---|---|---|
Darwin Score | +31 Puuilo Oyj (PUUILO) | -4 Harvia Oyj (HARVIA) | ||||
Darwin Price Score | +19 Puuilo Oyj (PUUILO) | -6 Harvia Oyj (HARVIA) | ||||
Darwin Sentiment Score | 0 Harvia Oyj (HARVIA) | 0 Harvia Oyj (HARVIA) | ||||
Darwin Fundamentals Score | 0 Harvia Oyj (HARVIA) | 0 Harvia Oyj (HARVIA) | ||||
Darwin Flow Score | 0 Harvia Oyj (HARVIA) | 0 Harvia Oyj (HARVIA) | ||||
Darwin Models Score | +12 Puuilo Oyj (PUUILO) | -1 Tokmanni Group Oyj (TOKMAN) | ||||
Advancers vs Decliners (1d) | 3 Advancers | 2 Decliners | ||||
Advancers vs Decliners (20d) | 0 Advancers | 5 Decliners | ||||
Moving Average (50d) | 2 Above | 3 Below | ||||
Moving Average (200d) | 3 Above | 2 Below | ||||
Relative Strength (10d) | 0 Overbought | 0 Oversold |
Category | Assets |
---|---|
Strongest | Marimekko Oyj (MEKKO) +24, Puuilo Oyj (PUUILO) +31 |
Above Average | |
Average | |
Below Average | Nokian Renkaat Oyj (TYRES) +6 |
Weakest | Harvia Oyj (HARVIA) -4, Tokmanni Group Oyj (TOKMAN) +1 |
Candle Patterns (Price Sentiment)
Fri Oct 17 13:35:42 UTC 2025
Here is analysis of Candle Patterns which are a useful tool to measure price sentiment for assets:
Analytical Models
Fri Oct 17 11:11:03 UTC 2025
Here is a Model Score report:
Model Score | MA Fcst | Signals | Neural Fcst | GANN Fcst | Boll Fcst | |
---|---|---|---|---|---|---|
Puuilo Oyj (PUUILO) | +12 | +6 | +2 | +1 | 0 | +3 |
Marimekko Oyj (MEKKO) | +10 | +6 | 0 | +1 | +1 | +2 |
Nokian Renkaat Oyj (TYRES) | +5 | +4 | 0 | +1 | +1 | -1 |
Harvia Oyj (HARVIA) | +2 | +6 | -1 | -1 | -1 | -1 |
Tokmanni Group Oyj (TOKMAN) | -1 | +1 | -1 | -1 | -1 | +1 |
High Activity Screen
Fri Oct 17 09:50:56 UTC 2025
Here is a list of assets moving up or down on unusually high volume.
Asset | 1 Day Return (%) | Vol Rel 20d | |
---|---|---|---|
Marimekko Oyj (MEKKO) | Down on High Volume | -0.5 | 5.4x |
Market Cycle Analysis
Fri Oct 17 08:23:23 UTC 2025
The median 1m Return(%) is -5.6 and the median 12m Return(%) is -5.8. The analysis of the relative performance of these assets is as follows in the table below:
Asset | Market Cycle |
---|---|
Marimekko Oyj (MEKKO) | Leading |
Puuilo Oyj (PUUILO) | Leading |
Harvia Oyj (HARVIA) | Lagging |
Tokmanni Group Oyj (TOKMAN) | Lagging |
Nokian Renkaat Oyj (TYRES) | Neutral 12m and 1m |
Asset Analysis
Fri Oct 17 07:12:53 UTC 2025
Here are the analyser results for these 5 assets.
Best Score | Puuilo Oyj (PUUILO) with a score of +31 |
Worst Score | Harvia Oyj (HARVIA) with a score of -4 |
Best 1 day performer | Nokian Renkaat Oyj (TYRES) with a 1 day return of +1.9%. |
Worst 1 day performer | Marimekko Oyj (MEKKO) with a 200 day return of -0.5%. |
Top 200 day performer | Puuilo Oyj (PUUILO) with a 200 day return of +45.7%. |
Bottom 200 day performer | Tokmanni Group Oyj (TOKMAN) with a 200 day return of -25.2%. |
Highest 5 day RSI | Puuilo Oyj (PUUILO) with a 5 day RSI of 85.4. |
Lowest 5 day RSI | Harvia Oyj (HARVIA) with a 5 day RSI of 42.04. |
Most active | Marimekko Oyj (MEKKO) with volume rel to 20 day average of 5.44x. |
Alerts
Fri Oct 17 05:57:18 UTC 2025
Harvia Oyj - 4 alerts
- Oversold - The 5 week RSI is +27.1. (Bullish)
- Oversold - The 15 week RSI is +26.6. (Bullish)
- Oversold - The 5 month RSI is +19.4. (Bullish)
- ... plus another 1 alerts
Tokmanni Group Oyj - 3 alerts
- Oversold - The 5 month RSI is +26.2. (Bullish)
- Cross Over (Up):5dma . (Bullish) This alert has occurred 30 times over the last last year. The average forward returns are -0.9% over 5 days, 0.5% over 10 days, -0.9% over 15 days and -2.1% over 20 days.
- Volatility Squeeze:BB Width Narrowing (st). (Bullish) This alert has occurred 36 times over the last last year. The average forward returns are -1.0% over 5 days, -0.9% over 10 days, -1.9% over 15 days and -2.5% over 20 days.
- ... plus another 0 alerts
Nokian Renkaat Oyj - 2 alerts
- Oversold - The 5 week RSI is +15.5. (Bullish)
- Cross Over (Up):5dma . (Bullish) This alert has occurred 28 times over the last last year. The average forward returns are 1.2% over 5 days, 1.6% over 10 days, -0.1% over 15 days and 0.4% over 20 days.
Marimekko Oyj - 6 alerts
- Volume is 5.4x 20 day average. (Bearish)
- Volatility Squeeze:BB Width Narrowing (mt). (Bullish) This alert has occurred 16 times over the last last year. The average forward returns are 3.0% over 5 days, 4.5% over 10 days, 3.4% over 15 days and 2.7% over 20 days.
- High Volume 2x 65dma. (Bullish) This alert has occurred 19 times over the last last year. The average forward returns are -0.4% over 5 days, -1.1% over 10 days, -0.5% over 15 days and -0.6% over 20 days.
- ... plus another 3 alerts
Puuilo Oyj - 5 alerts
- Overbought - The 5 day RSI is +85.4. (Bearish)
- Overbought - The 5 month RSI is +71.0. (Bearish)
- Overbought - The 15 month RSI is +79.3. (Bearish)
- ... plus another 2 alerts
Laggards by 1 Day Performance
Fri Oct 17 04:41:42 UTC 2025
Asset Name | Asset Score | |
---|---|---|
Marimekko Oyj (MEKKO) | -0.5 | +24 |
Leaders by 1 Day Performance
Fri Oct 17 03:22:18 UTC 2025
Asset Name | Asset Score | |
---|---|---|
Nokian Renkaat Oyj (TYRES) | 1.9 | +6 |
Relative Scores
Fri Oct 17 02:07:18 UTC 2025
The average score across these 5 assets is 11.6.
The relative categorisation of these assets is as follows:Category | Assets |
---|---|
Strongest | Marimekko Oyj (MEKKO) +24, Puuilo Oyj (PUUILO) +31 |
Above Average | |
Average | |
Below Average | Nokian Renkaat Oyj (TYRES) +6 |
Weakest | Harvia Oyj (HARVIA) -4, Tokmanni Group Oyj (TOKMAN) +1 |
Candle Patterns (Price Sentiment)
Fri Oct 17 00:42:21 UTC 2025
Here is analysis of Candle Patterns which are a useful tool to measure price sentiment for assets:
Marimekko Oyj / Sentiment / Candle Patterns The Candle Patterns analysis for Marimekko Oyj is negative with a score of -1
|
Analytical Models
Thu Oct 16 23:24:10 UTC 2025
Here is a Model Score report:
Model Score | MA Fcst | Signals | Neural Fcst | GANN Fcst | Boll Fcst | |
---|---|---|---|---|---|---|
Puuilo Oyj (PUUILO) | +26 | +6 | +16 | +1 | 0 | +3 |
Nokian Renkaat Oyj (TYRES) | +5 | +5 | 0 | +1 | +1 | -2 |
Marimekko Oyj (MEKKO) | +5 | +6 | +2 | +1 | -1 | -3 |
Harvia Oyj (HARVIA) | +4 | +6 | -1 | -1 | -1 | +1 |
Tokmanni Group Oyj (TOKMAN) | +1 | +1 | -1 | +1 | -1 | +1 |
High Activity Screen
Thu Oct 16 21:47:13 UTC 2025
Here is a list of assets moving up or down on unusually high volume.
Asset | 1 Day Return (%) | Vol Rel 20d | |
---|---|---|---|
Marimekko Oyj (MEKKO) | Up on High Volume | +1.6 | 5.4x |
Market Cycle Analysis
Thu Oct 16 20:23:25 UTC 2025
The median 1m Return(%) is -5.9 and the median 12m Return(%) is -5.8. The analysis of the relative performance of these assets is as follows in the table below:
Asset | Market Cycle |
---|---|
Marimekko Oyj (MEKKO) | Leading |
Puuilo Oyj (PUUILO) | Leading |
Tokmanni Group Oyj (TOKMAN) | Lagging |
Harvia Oyj (HARVIA) | Lagging 12m, Neutral 1m |
Nokian Renkaat Oyj (TYRES) | Neutral 12m, Lagging 1m |
Asset Analysis
Thu Oct 16 18:50:19 UTC 2025
Here are the analyser results for these 5 assets.
Best Score | Puuilo Oyj (PUUILO) with a score of +39 |
Worst Score | Harvia Oyj (HARVIA) with a score of -1 |
Best 1 day performer | Marimekko Oyj (MEKKO) with a 1 day return of +1.6%. |
Worst 1 day performer | Nokian Renkaat Oyj (TYRES) with a 200 day return of +0.4%. |
Top 200 day performer | Puuilo Oyj (PUUILO) with a 200 day return of +45.7%. |
Bottom 200 day performer | Tokmanni Group Oyj (TOKMAN) with a 200 day return of -25.2%. |
Highest 5 day RSI | Puuilo Oyj (PUUILO) with a 5 day RSI of 85.4. |
Lowest 5 day RSI | Harvia Oyj (HARVIA) with a 5 day RSI of 42.04. |
Most active | Marimekko Oyj (MEKKO) with volume rel to 20 day average of 5.44x. |
Alerts
Thu Oct 16 17:42:46 UTC 2025
Harvia Oyj - 2 alerts
- Oversold - The 5 month RSI is +18.3. (Bullish)
- Volatility Squeeze:BB Width Narrowing (st). (Bullish) This alert has occurred 58 times over the last last year. The average forward returns are -2.8% over 5 days, -3.6% over 10 days, -3.6% over 15 days and -4.6% over 20 days.
Tokmanni Group Oyj - 3 alerts
- Oversold - The 5 month RSI is +26.2. (Bullish)
- Cross Over (Up):5dma . (Bullish) This alert has occurred 30 times over the last last year. The average forward returns are -0.9% over 5 days, 0.5% over 10 days, -0.9% over 15 days and -2.1% over 20 days.
- Volatility Squeeze:BB Width Narrowing (st). (Bullish) This alert has occurred 36 times over the last last year. The average forward returns are -1.0% over 5 days, -0.9% over 10 days, -1.9% over 15 days and -2.5% over 20 days.
- ... plus another 0 alerts
Nokian Renkaat Oyj - 5 alerts
- Oversold - The 5 day RSI is +15.7. (Bullish)
- Oversold - The 15 day RSI is +25.5. (Bullish)
- Oversold - The 5 week RSI is +19.1. (Bullish)
- ... plus another 2 alerts
Marimekko Oyj - 6 alerts
- Candle Pattern :: Inverted Hammer (Bearish) (Negative) (Bearish)
- Cross Over (Up):20dma . (Bullish) This alert has occurred 13 times over the last last year. The average forward returns are 0.8% over 5 days, 0.6% over 10 days, -0.7% over 15 days and -0.9% over 20 days.
- Volatility Squeeze:BB Width Narrowing (mt). (Bullish) This alert has occurred 16 times over the last last year. The average forward returns are 3.0% over 5 days, 4.5% over 10 days, 3.4% over 15 days and 2.7% over 20 days.
- ... plus another 3 alerts
Puuilo Oyj - 4 alerts
- Overbought - The 5 day RSI is +74.3. (Bearish)
- Overbought - The 15 month RSI is +77.4. (Bearish)
- Overbought - The 30 month RSI is +73.7. (Bearish)
- ... plus another 1 alerts
Leaders by 1 Day Performance
Thu Oct 16 15:23:17 UTC 2025
Asset Name | Asset Score | |
---|---|---|
Marimekko Oyj (MEKKO) | 1.6 | +16 |