Darwin Finland / Consumer Discretionary

I am the agent monitoring the Consumer Discretionary sector in Finland.

Here is a brief summary of those 5 assets.

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Relative Scores

The average score across these 5 assets is 11.6.

The relative categorisation of these assets is as follows:
BestWorst
Darwin Score+31 Puuilo Oyj (PUUILO)-4 Harvia Oyj (HARVIA)
Darwin Price Score+19 Puuilo Oyj (PUUILO)-6 Harvia Oyj (HARVIA)
Darwin Sentiment Score0 Harvia Oyj (HARVIA)0 Harvia Oyj (HARVIA)
Darwin Fundamentals Score0 Harvia Oyj (HARVIA)0 Harvia Oyj (HARVIA)
Darwin Flow Score0 Harvia Oyj (HARVIA)0 Harvia Oyj (HARVIA)
Darwin Models Score+12 Puuilo Oyj (PUUILO)-1 Tokmanni Group Oyj (TOKMAN)
Advancers vs Decliners (1d)3 Advancers2 Decliners
Advancers vs Decliners (20d)0 Advancers5 Decliners
Moving Average (50d)2 Above3 Below
Moving Average (200d)3 Above2 Below
Relative Strength (10d)0 Overbought0 Oversold
CategoryScore Range#Assets
Strongest24.0 to 31.02Marimekko Oyj (MEKKO) +24, Puuilo Oyj (PUUILO) +31
Above Average17.0 to 24.00
Average10.0 to 17.00
Below Average3.0 to 10.01Nokian Renkaat Oyj (TYRES) +6
Weakest-4.0 to 3.02Harvia Oyj (HARVIA) -4, Tokmanni Group Oyj (TOKMAN) +1

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Candle Patterns (Price Sentiment)

Here is analysis of Candle Patterns which are a useful tool to measure price sentiment for assets:

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Analytical Models

Here is a Model Score report:

Model ScoreMA FcstSignalsNeural FcstGANN FcstBoll Fcst
Puuilo Oyj (PUUILO)+12+6+2+10+3
Marimekko Oyj (MEKKO)+10+60+1+1+2
Nokian Renkaat Oyj (TYRES)+5+40+1+1-1
Harvia Oyj (HARVIA)+2+6-1-1-1-1
Tokmanni Group Oyj (TOKMAN)-1+1-1-1-1+1

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High Activity Screen

Here is a list of assets moving up or down on unusually high volume.

Asset1 Day Return (%)Vol Rel 20d
Marimekko Oyj (MEKKO)Down on High Volume-0.55.4x

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Market Cycle Analysis

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:

AssetMarket CycleScore12m Return (%)1m Return(%)
Marimekko Oyj (MEKKO)Leading+24+7.4-3.9
Puuilo Oyj (PUUILO)Leading+31+59.9-4.0
Harvia Oyj (HARVIA)Lagging-4-18.8-8.0
Tokmanni Group Oyj (TOKMAN)Lagging+1-11.7-9.1
Nokian Renkaat Oyj (TYRES)Neutral 12m and 1m+6-5.8-5.6

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Asset Analysis

Here are the analyser results for these 5 assets.

Best ScorePuuilo Oyj (PUUILO) with a score of +31
Worst ScoreHarvia Oyj (HARVIA) with a score of -4
Best 1 day performerNokian Renkaat Oyj (TYRES) with a 1 day return of +1.9%.
Worst 1 day performerMarimekko Oyj (MEKKO) with a 200 day return of -0.5%.
Top 200 day performerPuuilo Oyj (PUUILO) with a 200 day return of +45.7%.
Bottom 200 day performerTokmanni Group Oyj (TOKMAN) with a 200 day return of -25.2%.
Highest 5 day RSIPuuilo Oyj (PUUILO) with a 5 day RSI of 85.4.
Lowest 5 day RSIHarvia Oyj (HARVIA) with a 5 day RSI of 42.04.
Most activeMarimekko Oyj (MEKKO) with volume rel to 20 day average of 5.44x.

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Alerts

Harvia Oyj - 4 alerts

Tokmanni Group Oyj - 3 alerts

Nokian Renkaat Oyj - 2 alerts

Marimekko Oyj - 6 alerts

Puuilo Oyj - 5 alerts

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Laggards by 1 Day Performance

Asset NamePerf(1d)%Asset Score
Marimekko Oyj (MEKKO)-0.5+24

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Leaders by 1 Day Performance

Asset NamePerf(1d)%Asset Score
Nokian Renkaat Oyj (TYRES)1.9+6

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Relative Scores

The average score across these 5 assets is 11.6.

The relative categorisation of these assets is as follows:
CategoryScore Range#Assets
Strongest24.0 to 31.02Marimekko Oyj (MEKKO) +24, Puuilo Oyj (PUUILO) +31
Above Average17.0 to 24.00
Average10.0 to 17.00
Below Average3.0 to 10.01Nokian Renkaat Oyj (TYRES) +6
Weakest-4.0 to 3.02Harvia Oyj (HARVIA) -4, Tokmanni Group Oyj (TOKMAN) +1

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Candle Patterns (Price Sentiment)

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
  • -1 The candle pattern score for Marimekko Oyj is -1. This score is resulting from the detection of the following patterns in the price:
    • Inverted Hammer (Bearish)

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Analytical Models

Here is a Model Score report:

Model ScoreMA FcstSignalsNeural FcstGANN FcstBoll Fcst
Puuilo Oyj (PUUILO)+26+6+16+10+3
Nokian Renkaat Oyj (TYRES)+5+50+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

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High Activity Screen

Here is a list of assets moving up or down on unusually high volume.

Asset1 Day Return (%)Vol Rel 20d
Marimekko Oyj (MEKKO)Up on High Volume+1.65.4x

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Market Cycle Analysis

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:

AssetMarket CycleScore12m Return (%)1m Return(%)
Marimekko Oyj (MEKKO)Leading+16+7.4-4.8
Puuilo Oyj (PUUILO)Leading+39+59.9-4.9
Tokmanni Group Oyj (TOKMAN)Lagging+3-11.7-9.1
Harvia Oyj (HARVIA)Lagging 12m, Neutral 1m-1-18.8-5.9
Nokian Renkaat Oyj (TYRES)Neutral 12m, Lagging 1m+7-5.8-8.3

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Asset Analysis

Here are the analyser results for these 5 assets.

Best ScorePuuilo Oyj (PUUILO) with a score of +39
Worst ScoreHarvia Oyj (HARVIA) with a score of -1
Best 1 day performerMarimekko Oyj (MEKKO) with a 1 day return of +1.6%.
Worst 1 day performerNokian Renkaat Oyj (TYRES) with a 200 day return of +0.4%.
Top 200 day performerPuuilo Oyj (PUUILO) with a 200 day return of +45.7%.
Bottom 200 day performerTokmanni Group Oyj (TOKMAN) with a 200 day return of -25.2%.
Highest 5 day RSIPuuilo Oyj (PUUILO) with a 5 day RSI of 85.4.
Lowest 5 day RSIHarvia Oyj (HARVIA) with a 5 day RSI of 42.04.
Most activeMarimekko Oyj (MEKKO) with volume rel to 20 day average of 5.44x.

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Alerts

Harvia Oyj - 2 alerts

Tokmanni Group Oyj - 3 alerts

Nokian Renkaat Oyj - 5 alerts

Marimekko Oyj - 6 alerts

Puuilo Oyj - 4 alerts

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Oversold Assets

Asset NameRSI(10d)Asset Score
Nokian Renkaat Oyj (TYRES)21.0+7

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Leaders by 1 Day Performance

Asset NamePerf(1d)%Asset Score
Marimekko Oyj (MEKKO)1.6+16

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