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| # | Code | Score | Signal | Chg % | Turnover | Last | 60D Trend | 60D Med % | 10D Win | Vol× | Day Range | Breakdown |
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Financials stocks on the ASX
300 ASX-listed financials companies that traded on the latest session, ranked by market capitalisation. Each row shows the momentum quality score (0-100), trend stage and Wyckoff phase calculated independently by Stock Trade Intel. Click any code for the full analysis.
| Code | Company | Market cap | Change | MQS | Trend stage | Wyckoff phase |
|---|---|---|---|---|---|---|
| CBA | Commonwealth Bank of Australia | $279.75B | -1.08% | 40 | Neutral | Distribution |
| NAB | National Australia Bank Ltd | $128.97B | -0.10% | 49 | Breakdown | Downtrend |
| WBC | Westpac Banking Corporation | $120.98B | -0.92% | 37 | Breakdown | Downtrend |
| ANZ | ANZ Group Holdings Ltd | $117.29B | +2.23% | 47 | Emerging | Uptrend |
| MQG | Macquarie Group Ltd | $100.47B | +0.70% | 73 | Neutral | Uptrend |
| QBE | QBE Insurance Group Ltd | $34.50B | -1.62% | 50 | Neutral | Distribution |
| VAS | Vanguard Australian Shares INDEX ETF | $26.21B | -0.88% | 50 | Emerging | Uptrend |
| SUN | Suncorp Group Ltd | $20.89B | -0.56% | 61 | Emerging | Uptrend |
| IAG | Insurance Australia Group Ltd | $19.03B | +4.23% | 56 | Neutral | Distribution |
| SOL | Washington H Soul Pattinson & Company Ltd | $17.68B | -0.26% | 72 | Neutral | Uptrend |
| VGS | Vanguard MSCI INDEX International Shares ETF | $17.54B | +0.15% | 52 | Emerging | Uptrend |
| IVV | Ishares S&P 500 ETF | $14.58B | +0.38% | 50 | Emerging | Uptrend |
| MPL | Medibank Private Ltd | $14.02B | +0.39% | 68 | Neutral | Uptrend |
| IFT | Infratil Ltd | $12.58B | +0.72% | 45 | Distribution | Distribution |
| ASX | ASX Ltd | $11.39B | -3.68% | 45 | Emerging | Uptrend |
| A200 | Betashares Australia 200 ETF | $10.41B | -0.98% | 53 | Emerging | Uptrend |
| IOZ | Ishares Core S&P/ASX 200 ETF | $9.30B | -0.98% | 49 | Emerging | Uptrend |
| NDQ | Betashares Nasdaq 100 ETF | $9.08B | +0.77% | 31 | Emerging | Uptrend |
| QUAL | Vaneck MSCI International Quality ETF | $8.82B | +0.25% | 33 | Emerging | Uptrend |
| AFI | Australian Foundation Investment Company Ltd | $8.33B | -0.73% | 38 | Breakdown | Downtrend |
| VHY | Vanguard Australian Shares High Yield ETF | $7.86B | -0.95% | 44 | Neutral | Uptrend |
| VGAD | Vanguard MSCI INDEX International Shares (Hedged) ETF | $7.48B | +0.40% | 39 | Emerging | Uptrend |
| HUB | HUB24 Ltd | $7.12B | -0.51% | 34 | Breakdown | Downtrend |
| VTS | Vanguard US Total Market Shares INDEX ETF | $7.12B | +0.32% | 51 | Emerging | Uptrend |
| DACE | Dimensional Australian Core Equity Trust - Active ETF | $7.11B | -0.77% | 46 | Emerging | Uptrend |
| ARG | Argo Investments Ltd | $6.90B | -2.76% | 54 | Neutral | Uptrend |
| STW | SPDR S&P/ASX 200 ETF | $6.77B | -0.90% | 53 | Emerging | Uptrend |
| CGF | Challenger Ltd | $6.75B | +0.71% | 50 | Neutral | Distribution |
| BEN | Bendigo and Adelaide Bank Ltd | $6.49B | +0.45% | 55 | Neutral | Accumulation |
| VEU | Vanguard All-World Ex-US Shares INDEX ETF | $6.17B | -0.19% | 38 | Emerging | Uptrend |
| IOO | Ishares Global 100 ETF | $5.93B | +0.03% | 42 | Emerging | Uptrend |
| SDF | Steadfast Group Ltd | $5.91B | +0.95% | 61 | Neutral | Accumulation |
| NWL | Netwealth Group Ltd | $5.89B | -0.42% | 33 | Emerging | Accumulation |
| DGCE | Dimensional Global Core Equity Trust Unhedged - Active ETF | $5.67B | +0.24% | 52 | Emerging | Uptrend |
| AMP | AMP Ltd | $5.67B | 0.00% | 73 | Neutral | Uptrend |
| AAA | Betashares Australian High Interest Cash ETF | $5.03B | +0.02% | 34 | Neutral | Distribution |
| BGBL | Betashares Global Shares ETF | $4.67B | +0.33% | 52 | Emerging | Uptrend |
| XYZ | Block, Inc | $4.47B | +6.07% | 66 | Neutral | Distribution |
| PNI | Pinnacle Investment Management Group Ltd | $4.43B | -0.54% | 52 | Emerging | Accumulation |
| V1AC | Vinva Global Alpha Fund - Active ETF | $4.39B | 0.00% | 33 | Neutral | Distribution |
| GQG | GQG Partners Inc | $4.28B | +1.05% | 35 | Emerging | Accumulation |
| BOQ | Bank of Queensland Ltd | $4.27B | +0.94% | 42 | Breakdown | Downtrend |
| DFGH | Dimensional Global Core Equity Trust Aud Hedged - Active ETF | $4.27B | +0.54% | 35 | Emerging | Uptrend |
| VBND | Vanguard Global Aggregate Bond INDEX (Hedged) ETF | $4.23B | +0.08% | 46 | Neutral | Distribution |
| IHVV | Ishares S&P 500 Aud Hedged ETF | $4.12B | +0.56% | 40 | Emerging | Uptrend |
| VDHG | Vanguard Diversified High Growth INDEX ETF | $4.02B | -0.20% | 47 | Emerging | Uptrend |
| ETHI | Betashares Global Sustainability Leaders ETF | $3.91B | +0.46% | 55 | Emerging | Uptrend |
| AUB | AUB Group Ltd | $3.77B | -0.86% | 54 | Emerging | Accumulation |
| BFL | BSP Financial Group Ltd | $3.76B | +0.88% | 39 | Neutral | Downtrend |
| IAF | Ishares Core Composite Bond ETF | $3.69B | -0.12% | 36 | Neutral | Distribution |
| SUBD | Vaneck Australian Subordinated Debt ETF | $3.65B | +0.04% | 37 | Neutral | Distribution |
| VAF | Vanguard Australian Fixed Interest INDEX ETF | $3.65B | -0.02% | 39 | Neutral | Distribution |
| NHF | Nib Holdings Ltd | $3.60B | -0.14% | 64 | Neutral | Distribution |
| ZIP | ZIP Co Ltd | $3.40B | -1.44% | 39 | Neutral | Accumulation |
| MVW | Vaneck Australian EQUAL Weight ETF | $3.36B | -0.15% | 49 | Emerging | Uptrend |
| HYGG | Hyperion Global Growth Companies Fund - Active ETF | $3.22B | +0.83% | 42 | Neutral | Accumulation |
| MFG | Magellan Financial Group Ltd | $3.19B | +1.40% | 47 | Emerging | Uptrend |
| MFF | MFF Capital Investments Ltd | $3.17B | -0.37% | 72 | Confirmed Uptrend | Uptrend |
| VAP | Vanguard Australian Property Securities INDEX ETF | $3.00B | -0.96% | 25 | Distribution | Distribution |
| LSF | L1 Long Short Fund Ltd | $2.95B | +0.65% | 47 | Emerging | Uptrend |
| L1G | L1 Group Ltd | $2.84B | -3.91% | 30 | Neutral | Accumulation |
| HGBL | Betashares Global Shares Currency Hedged ETF | $2.77B | +0.56% | 45 | Emerging | Uptrend |
| QHAL | Vaneck MSCI International Quality (Aud Hedged) ETF | $2.59B | +0.57% | 40 | Emerging | Uptrend |
| AUI | Australian United Investment Company Ltd | $2.56B | -0.17% | 60 | Neutral | Uptrend |
| HBRD | Betashares Australian Hybrids Active ETF | $2.49B | -0.10% | 27 | Neutral | Distribution |
| MXT | Metrics Master Income Trust | $2.36B | -0.52% | 30 | Emerging | Distribution |
| RCAP | Resolution Cap Global Prop Sec Fund - Active ETF | $2.27B | +0.80% | 38 | Neutral | Distribution |
| PPT | Perpetual Ltd | $2.24B | +0.84% | 53 | Neutral | Distribution |
| QPON | Betashares Australian Bank Senior Floating Rate Bond ETF | $2.16B | -0.04% | 32 | Neutral | Distribution |
| IFRA | Vaneck Ftse Global Infrastructure (Aud Hedged) ETF | $2.05B | +0.43% | 29 | Distribution | Distribution |
| VGE | Vanguard Ftse Emerging Markets Shares ETF | $1.99B | -0.35% | 33 | Emerging | Uptrend |
| WLE | Wam Leaders Ltd | $1.85B | -1.11% | 47 | Breakdown | Downtrend |
| CRED | Betashares Australian Investment Grade Corporate Bond ETF | $1.83B | 0.00% | 35 | Neutral | Distribution |
| IWLD | Ishares Core MSCI World Ex Australia Esg ETF | $1.80B | +0.30% | 52 | Emerging | Uptrend |
| FANG | Global X Fang+ ETF | $1.76B | +1.25% | 33 | Emerging | Uptrend |
| IEM | Ishares MSCI Emerging Markets ETF | $1.75B | +0.34% | 27 | Neutral | Distribution |
| WAM | WAM Capital Ltd | $1.74B | -0.33% | 30 | Breakdown | Downtrend |
| HACK | Betashares Global Cybersecurity ETF | $1.71B | +2.11% | 50 | Emerging | Uptrend |
| GLIN | Ishares Ftse GBL Infrastructure (Aud Hedged) ETF | $1.69B | 0.00% | 31 | Distribution | Distribution |
| IAA | Ishares Asia 50 ETF | $1.69B | -0.17% | 27 | Neutral | Distribution |
| QSML | Vaneck MSCI Intl Small Companies Quality ETF | $1.64B | -0.30% | 39 | Emerging | Uptrend |
| PGF | PM Capital Global Opportunities Fund Ltd | $1.61B | +0.90% | 70 | Neutral | Uptrend |
| IJP | Ishares MSCI Japan ETF | $1.60B | +0.42% | 35 | Emerging | Uptrend |
| NGI | Navigator Global Investments Ltd | $1.57B | -0.77% | 37 | Emerging | Accumulation |
| HLI | Helia Group Ltd | $1.56B | -1.04% | 40 | Emerging | Uptrend |
| PGA1 | Plato Global Alpha Fund Complex ETF | $1.56B | +0.20% | 56 | Emerging | Uptrend |
| VESG | Vanguard Ethically Conscious International Shares INDEX ETF | $1.55B | +0.55% | 38 | Emerging | Uptrend |
| VDGR | Vanguard Diversified Growth INDEX ETF | $1.53B | -0.30% | 34 | Emerging | Uptrend |
| BKI | BKI Investment Company Ltd | $1.52B | -4.06% | 61 | Neutral | Uptrend |
| DAVA | Dimensional Australian Value Trust - Active ETF | $1.51B | -0.56% | 38 | Emerging | Uptrend |
| GDG | Generation Development Group Ltd | $1.51B | -1.30% | 23 | Breakdown | Downtrend |
| DHHF | Betashares Diversified All Growth ETF | $1.48B | -0.05% | 50 | Emerging | Uptrend |
| IXJ | Ishares Global Healthcare ETF | $1.46B | -0.28% | 56 | Emerging | Distribution |
| ASIA | Betashares Asia Technology Tigers ETF | $1.43B | +0.10% | 28 | Neutral | Distribution |
| ETPMAG | Global X Metal Securities Australia Ltd | $1.39B | -1.62% | — | — | — |
| VGB | Vanguard Australian Government Bond INDEX ETF | $1.35B | -0.13% | 44 | Neutral | Distribution |
| AQLT | Betashares Australian Quality ETF | $1.35B | -0.56% | 51 | Emerging | Uptrend |
| ILB | Ishares Government Inflation ETF | $1.33B | +0.06% | 40 | Neutral | Distribution |
| OZBD | Betashares Australian Composite Bond ETF | $1.32B | -0.07% | 29 | Neutral | Distribution |
| GCI | Gryphon Capital Income Trust | $1.31B | 0.00% | 39 | Emerging | Distribution |
| QOZ | Betashares Ftse Rafi Australia 200 ETF | $1.30B | -1.01% | 44 | Emerging | Uptrend |
| VVLU | Vanguard Global Value Equity Active ETF | $1.27B | +0.88% | 45 | Emerging | Uptrend |
| DGVA | Dimensional Global Value Trust - Active ETF | $1.25B | +0.10% | 38 | Emerging | Uptrend |
| HMC | HMC Capital Ltd | $1.25B | -0.98% | 40 | Emerging | Accumulation |
| GDX | Vaneck Gold Miners ETF | $1.25B | -1.91% | 43 | Emerging | Uptrend |
| CIIH | CB GLBL Infrastructure Income (Hedged) Active ETF | $1.23B | +1.36% | 42 | Neutral | Distribution |
| MAF | MA Financial Group Ltd | $1.22B | -0.49% | 30 | Emerging | Accumulation |
| FLOT | Vaneck Australian Floating Rate ETF | $1.21B | 0.00% | 30 | Neutral | Distribution |
| BILL | Ishares Core Cash ETF | $1.20B | +0.01% | 40 | Neutral | Distribution |
| MQAE | Macquarie Core Australian Equity Active ETF | $1.18B | -0.89% | 52 | Emerging | Uptrend |
| VSO | Vanguard MSCI Australian Small Companies INDEX ETF | $1.18B | -0.70% | 39 | Emerging | Uptrend |
| IEU | Ishares Europe ETF | $1.14B | -0.20% | 35 | Neutral | Uptrend |
| AGVT | Betashares Australian Government Bond ETF | $1.12B | -0.02% | 36 | Neutral | Distribution |
| QUS | Betashares S&P 500 EQUAL Weight ETF | $1.12B | +0.82% | 51 | Emerging | Uptrend |
| GLS | L1 Global Long Short Fund Ltd | $1.12B | +0.99% | 54 | Neutral | Uptrend |
| FAIR | Betashares Australian Sustainability Leaders ETF | $1.11B | +0.94% | 47 | Emerging | Uptrend |
| RPL | REGAL PARTNERS LIMITED | $1.11B | -1.05% | 39 | Neutral | Accumulation |
| CCL | CUSCAL LIMITED | $1.09B | +2.64% | 59 | Emerging | Uptrend |
| PL8 | Plato Income Maximiser Ltd | $1.07B | -1.72% | 52 | Neutral | Distribution |
| IHWL | Ishares Core MSCI World Ex Aus Esg (Aud Hed) ETF | $1.05B | +0.51% | 42 | Emerging | Uptrend |
| LGF | L1 Gold Fund Ltd | $1.04B | -0.90% | 35 | Emerging | Uptrend |
| JDO | Judo Capital Holdings Ltd | $1.04B | +0.54% | 28 | Neutral | Accumulation |
| SEMI | Global X Semiconductor ETF | $1.03B | +0.11% | 30 | Neutral | Accumulation |
| QLTY | Betashares Global Quality Leaders ETF | $1.02B | +0.12% | 36 | Emerging | Uptrend |
| CIVH | CB GLBL Infrastructure Value (Hedged) Active ETF | $1.01B | +0.89% | 34 | Neutral | Accumulation |
| QAL | QUALITAS LIMITED | $1.00B | -0.89% | 49 | Emerging | Accumulation |
| HNDQ | Betashares Nasdaq 100 Currency Hedged ETF | $982M | +0.75% | 41 | Emerging | Uptrend |
| QRI | Qualitas Real Estate Income Fund | $978M | 0.00% | 30 | Breakdown | Downtrend |
| HGH | HEARTLAND GROUP HOLDINGS LIMITED | $955M | 0.00% | 33 | Neutral | Distribution |
| LFG | Liberty Financial Group | $944M | -4.60% | 28 | Breakdown | Accumulation |
| LFS | Latitude Group Holdings Ltd | $941M | +0.56% | 37 | Emerging | Accumulation |
| NNUK | Nanuk New World Fund Active ETF | $927M | +0.44% | 37 | Emerging | Uptrend |
| MOAT | Vaneck Morningstar Wide Moat ETF | $925M | +1.32% | 31 | Emerging | Uptrend |
| VISM | Vanguard MSCI International Small Companies INDEX ETF | $924M | +0.34% | 34 | Emerging | Uptrend |
| VDBA | Vanguard Diversified Balanced INDEX ETF | $922M | -0.07% | 34 | Emerging | Uptrend |
| IJR | Ishares S&P Small-Cap ETF | $903M | +0.18% | 54 | Emerging | Distribution |
| FPR | FLEETPARTNERS GROUP LIMITED | $899M | +0.96% | 64 | Emerging | Uptrend |
| CCP | Credit Corp Group Ltd | $896M | -0.08% | 58 | Neutral | Distribution |
| WIRE | Global X Copper Miners ETF | $886M | -2.65% | 29 | Emerging | Uptrend |
| IHOO | Ishares Global 100 Aud Hedged ETF | $885M | +0.42% | 40 | Emerging | Uptrend |
| VIF | Vanguard International Fixed Interest INDEX (Hedged) ETF | $885M | +0.06% | 43 | Neutral | Distribution |
| MQSD | Macquarie Subordinated Debt Active ETF | $877M | 0.00% | 36 | Neutral | Distribution |
| AASF | Airlie Australian Share Fund - Active ETF | $866M | -0.76% | 38 | Emerging | Uptrend |
| VAE | Vanguard Ftse Asia Ex Japan Shares INDEX ETF | $860M | +0.34% | 28 | Emerging | Uptrend |
| BNDS | Betashares Western Asset Aus Bond Active ETF | $842M | -0.17% | 35 | Neutral | Distribution |
| LPGD | Loftus Peak Global Disruption Active ETF | $841M | +0.68% | 39 | Neutral | Distribution |
| MYS | MYSTATE LIMITED | $828M | +0.41% | 60 | Neutral | Uptrend |
| PPM | PEPPER MONEY LIMITED | $817M | +0.83% | 43 | Emerging | Accumulation |
| WXOZ | SPDR S&P World Ex Australia Carbon Aware ETF | $810M | +0.41% | 43 | Emerging | Distribution |
| PCI | PERPETUAL CREDIT INCOME TRUST | $805M | 0.00% | 49 | Emerging | Accumulation |
| ILC | Ishares S&P/ASX 20 ETF | $793M | -1.21% | 50 | Neutral | Distribution |
| REIT | Vaneck Ftse International Property (Aud Hedged) ETF | $793M | +0.76% | 36 | Neutral | Distribution |
| WGB | Wam Global Ltd | $784M | -0.46% | 34 | Breakdown | Accumulation |
| DJW | Djerriwarrh Investments Ltd | $779M | +0.34% | 49 | Neutral | Uptrend |
| RF1 | REGAL INVESTMENT FUND | $761M | -0.27% | 39 | Emerging | Distribution |
| HETH | Betashares Global Sustainability Leaders CH ETF | $758M | +0.97% | 53 | Emerging | Uptrend |
| MVR | Vaneck Australian Resources ETF | $748M | -0.79% | 36 | Emerging | Uptrend |
| ISEC | Ishares Enhanced Cash ETF | $744M | +0.01% | 37 | Distribution | Distribution |
| SFY | SPDR S&P/ASX 50 ETF | $736M | -1.15% | 57 | Neutral | Uptrend |
| DGSM | Dimensional Global Small Company - Active ETF | $721M | +0.25% | 30 | Emerging | Uptrend |
| VACF | Vanguard Australian Corp Fixed Interest INDEX ETF | $719M | -0.04% | 33 | Neutral | Distribution |
| BSUB | Betashares Aus Major Bank Subordinated Debt ETF | $718M | 0.00% | 42 | Neutral | Distribution |
| SYI | SPDR MSCI Australia Select High Dividend Yield ETF | $714M | -0.25% | 44 | Emerging | Uptrend |
| EMKT | Vaneck MSCI Multifactor Em Markets Equity ETF | $708M | +0.71% | 41 | Neutral | Accumulation |
| ATEC | Betashares S&P/ASX Australian Technology ETF | $703M | +1.94% | 41 | Emerging | Uptrend |
| FRAR | Franklin Aus Absolute Return BND Fund - Active ETF | $702M | 0.00% | 26 | Emerging | Uptrend |
| HM1 | HEARTS AND MINDS INVESTMENTS LIMITED | $701M | +0.99% | 51 | Emerging | Accumulation |
| EX20 | Betashares Australian Ex-20 Portfolio Diversifier ETF | $699M | -0.64% | 35 | Emerging | Uptrend |
| GLPR | Ishares Ftse GBL Property Ex Aus (Aud Hedged) ETF | $687M | +1.08% | 34 | Neutral | Distribution |
| KKC | KKR Credit Income Fund | $687M | 0.00% | 48 | Breakdown | Downtrend |
| YMAX | Betashares Aus Top 20 EQY Yield MAX Complex ETF | $676M | -0.66% | 46 | Neutral | Uptrend |
| FGG | FUTURE GENERATION GLOBAL LIMITED | $668M | 0.00% | 38 | Neutral | Distribution |
| BHYB | Betashares Australian Major Bank Hybrids INDEX ETF | $659M | +0.41% | 39 | Neutral | Distribution |
| WBND | Betashares Global Aggregate Bond Currency Hedged ETF | $659M | 0.00% | 35 | Neutral | Distribution |
| GXLD | Global X Gold Bullion ETF | $656M | -1.36% | 41 | Emerging | Uptrend |
| VBLD | Vanguard Global Infrastructure INDEX ETF | $653M | +0.16% | 33 | Neutral | Distribution |
| GEAR | Betashares Geared Australian Equities Complex ETF | $642M | -1.81% | 48 | Emerging | Uptrend |
| VETH | Vanguard Ethically Conscious Australian Shares ETF | $642M | -0.67% | 45 | Emerging | Uptrend |
| VEQ | Vanguard Ftse Europe Shares ETF | $641M | -0.09% | 53 | Emerging | Uptrend |
| ACDC | Global X Battery Tech & Lithium ETF | $639M | -0.50% | 44 | Neutral | Accumulation |
| IVE | Ishares MSCI Eafe ETF | $623M | +0.23% | 50 | Emerging | Uptrend |
| RG1 | Regal Partners Global Investments Ltd | $623M | +1.52% | 68 | Neutral | Uptrend |
| WHF | WHITEFIELD INDUSTRIALS LIMITED | $605M | -0.20% | 42 | Emerging | Uptrend |
| MMKT | Betashares Australian Cash Plus Active ETF | $602M | -0.02% | 34 | Distribution | Distribution |
| DIVI | Ausbil Active Dividend Income Fund - Active ETF | $582M | -1.03% | 56 | Emerging | Uptrend |
| WQG | WCM GLOBAL GROWTH LIMITED | $581M | 0.00% | 64 | Neutral | Uptrend |
| MIR | MIRRABOOKA INVESTMENTS LIMITED | $578M | +0.39% | 35 | Breakdown | Downtrend |
| FGX | FUTURE GENERATION AUSTRALIA LIMITED | $558M | -2.52% | 42 | Neutral | Uptrend |
| QRE | Betashares Australian Resources Sector ETF | $558M | -1.64% | 32 | Emerging | Uptrend |
| VLUE | Vaneck MSCI International Value ETF | $555M | +1.05% | 43 | Neutral | Distribution |
| FSML | Firetrail Aust Small Companies Fund - Active ETF | $545M | -0.47% | 39 | Emerging | Uptrend |
| OPH | OPHIR HIGH CONVICTION FUND | $545M | -0.81% | 32 | Breakdown | Accumulation |
| MOT | METRICS INCOME OPPORTUNITIES TRUST | $541M | +0.62% | 45 | Neutral | Accumulation |
| USTB | Global X US Treasury Bond (Currency Hedged) ETF | $540M | -0.11% | 48 | Neutral | Distribution |
| TWR | TOWER LIMITED | $536M | +0.65% | 30 | Emerging | Accumulation |
| IESG | Ishares Core MSCI Australia Esg ETF | $519M | -0.78% | 61 | Emerging | Uptrend |
| L1IF | L1 Capital International (Unhedged) Active ETF | $518M | 0.00% | 53 | Emerging | Uptrend |
| IJH | Ishares S&P Mid-Cap ETF | $516M | +0.02% | 46 | Emerging | Uptrend |
| FEIF | Western Asset Enhanced Income Fund - Active ETF | $513M | -0.44% | 18 | Neutral | Distribution |
| MVE | Vaneck S&P/ASX Midcap ETF | $511M | -0.39% | 38 | Emerging | Uptrend |
| AEF | AUSTRALIAN ETHICAL INVESTMENT LIMITED | $509M | -1.54% | 49 | Breakdown | Accumulation |
| QGRU | QUAY Global Real Estate Fund (Unhedged) Active ETF | $509M | -1.25% | 34 | Distribution | Distribution |
| GLOB | Barrow Hanley Global Share Active ETF | $504M | -0.21% | 38 | Neutral | Accumulation |
| ICOR | Ishares Core Corporate Bond ETF | $503M | -0.02% | 31 | Emerging | Distribution |
| SLF | SPDR S&P/ASX 200 LISTED PROPERTY ETF | $492M | -0.87% | 39 | Breakdown | Accumulation |
| ALI | ARGO GLOBAL LISTED INFRASTRUCTURE LIMITED | $490M | -1.14% | 65 | Confirmed Uptrend | Uptrend |
| BFG | BELL FINANCIAL GROUP LIMITED | $484M | -0.66% | 68 | Neutral | Distribution |
| TYR | TYRO PAYMENTS LIMITED | $474M | +1.71% | 40 | Emerging | Accumulation |
| EQT | EQT Holdings Ltd | $473M | +1.03% | 36 | Emerging | Accumulation |
| PIC | PERPETUAL EQUITY INVESTMENT COMPANY LIMITED | $470M | -0.81% | 44 | Emerging | Uptrend |
| GGUS | Betashares Geared US EQTY CCY Hedged Complex ETF | $462M | +1.14% | 39 | Emerging | Uptrend |
| MICH | Magellan Infra Fund (Currency Hedged) - Active ETF | $462M | +0.32% | 33 | Neutral | Accumulation |
| ESTX | Global X Euro STOXX 50 ETF | $459M | -0.40% | 41 | Emerging | Uptrend |
| IZZ | Ishares China Large-Cap ETF | $441M | -1.47% | 29 | Neutral | Distribution |
| QMIX | SPDR MSCI World Quality MIX ETF | $441M | +0.17% | 36 | Emerging | Uptrend |
| RARI | Russell Investments Australian Responsible Investment ETF | $440M | -0.63% | 42 | Emerging | Uptrend |
| REV | Revolution Private Credit Income Trust | $436M | 0.00% | 40 | Emerging | Distribution |
| F100 | Betashares Ftse 100 ETF | $433M | -0.64% | 56 | Neutral | Uptrend |
| AESG | Ishares Global Aggregate Bond Esg (Aud Hedged) ETF | $427M | +0.11% | 30 | Emerging | Distribution |
| OBL | OMNI BRIDGEWAY LIMITED | $423M | -2.67% | 27 | Neutral | Downtrend |
| IGB | Ishares Treasury ETF | $422M | +0.01% | 30 | Neutral | Distribution |
| EMXC | Ishares MSCI Emerging Markets Ex China ETF | $421M | +0.66% | 26 | Neutral | Distribution |
| VDAL | Vanguard Diversified All Growth INDEX ETF | $420M | -0.34% | 51 | Emerging | Uptrend |
| WXHG | SPDR S&P World Ex Aus Carbon Aware (Hedged) ETF | $417M | +1.05% | 42 | Emerging | Distribution |
| GLDN | Ishares Physical Gold ETF | $416M | -1.24% | 47 | Emerging | Uptrend |
| AFG | AUSTRALIAN FINANCE GROUP LTD | $415M | -0.96% | 24 | Neutral | Accumulation |
| SPY | SPDR S&P 500 ETF | $413M | +0.34% | 54 | Emerging | Uptrend |
| E200 | SPDR S&P/ASX 200 Esg ETF | $406M | -0.69% | 52 | Neutral | Distribution |
| IHD | Ishares S&P/ASX DIV Opportunities Esg Screened ETF | $404M | -1.09% | 36 | Neutral | Distribution |
| WDIV | SPDR S&P Global Dividend ETF | $404M | +0.51% | 39 | Emerging | Uptrend |
| WHI | WHITEFIELD INCOME LIMITED | $401M | 0.00% | 32 | Breakdown | Accumulation |
| WMI | WAM MICROCAP LIMITED | $397M | -0.70% | 36 | Breakdown | Accumulation |
| WCMQ | WCM Quality Global Growth Fund - Active ETF | $392M | +0.10% | 28 | Neutral | Distribution |
| MSTR | Morningstar International Shares Active ETF | $387M | 0.00% | 48 | Neutral | Accumulation |
| PE1 | PENGANA PRIVATE EQUITY TRUST | $381M | 0.00% | 27 | Neutral | Accumulation |
| XGOV | Vaneck 10+ Year Australian Government Bond ETF | $381M | -0.12% | 41 | Neutral | Distribution |
| TECH | Global X Morningstar Global Technology ETF | $371M | +2.36% | 32 | Emerging | Uptrend |
| RG8 | REGAL ASIAN INVESTMENTS LIMITED | $369M | +0.38% | 38 | Neutral | Accumulation |
| AGX1 | Antipodes Global Value Active ETF | $368M | +0.31% | 40 | Emerging | Uptrend |
| RCB | Russell Investments Australian Select Corporate Bond ETF | $360M | +0.15% | 29 | Emerging | Distribution |
| SMLL | Betashares Australian Small Companies Select ETF | $357M | -0.67% | 35 | Emerging | Uptrend |
| KSL | KINA SECURITIES LIMITED | $356M | -0.82% | 36 | Neutral | Distribution |
| PLUS | Vaneck Australian Corporate Bond Plus ETF | $356M | -0.30% | 42 | Neutral | Distribution |
| GHHF | Betashares Wealthbuilder All GR Geared Complex ETF | $353M | -0.19% | 47 | Emerging | Uptrend |
| RDV | Russell Investments High Dividend Australian Shares ETF | $346M | -0.37% | 53 | Neutral | Uptrend |
| DN1 | DOMINION INCOME TRUST 1 | $343M | -0.43% | 38 | Emerging | Distribution |
| IHCB | Ishares Core Global Corporate Bond(Aud Hedged) ETF | $340M | +0.29% | 32 | Neutral | Distribution |
| MAET | Munro Global Growth Fund Complex ETF | $327M | -0.73% | 42 | Neutral | Accumulation |
| URNM | Betashares Global Uranium ETF | $326M | -1.23% | 39 | Emerging | Accumulation |
| WMX | WAM INCOME MAXIMISER LIMITED | $326M | +0.90% | 60 | Neutral | Distribution |
| PAC | PACIFIC CURRENT GROUP LIMITED | $323M | -1.53% | 54 | Emerging | Uptrend |
| HJPN | Betashares Japan Currency Hedged ETF | $320M | +0.47% | 39 | Emerging | Uptrend |
| VLC | Vanguard MSCI Australian Large Companies INDEX ETF | $320M | -1.11% | 51 | Neutral | Distribution |
| IACT | Ishares U.S. Factor Rotation Active ETF | $318M | +0.06% | 50 | Emerging | Uptrend |
| HCRD | Betashares Interest Rate Hedged Aus Corp Bond ETF | $316M | -0.20% | 53 | Neutral | Distribution |
| RBTZ | Betashares Global Robotics and Artificial Intelligence ETF | $314M | +0.87% | 38 | Emerging | Uptrend |
| RMC | RESIMAC GROUP LTD | $314M | -0.63% | 30 | Neutral | Accumulation |
| COG | COG FINANCIAL SERVICES LIMITED | $310M | -3.00% | 25 | Emerging | Accumulation |
| OPPT | Magellan Global Opportunities Fund - Active ETF | $309M | +0.88% | 47 | Emerging | Uptrend |
| MVB | Vaneck Australian Banks ETF | $306M | -0.31% | 52 | Neutral | Distribution |
| ROBO | Global X Robo Global Robotics & Automation ETF | $306M | -0.37% | 39 | Neutral | Accumulation |
| UMAX | Betashares S&P 500 Yield Maximiser Complex ETF | $298M | -0.19% | 51 | Emerging | Uptrend |
| VDCO | Vanguard Diversified Conservative INDEX ETF | $297M | +0.04% | 37 | Emerging | Distribution |
| FGSE | Franklin Global Systematic Equity FD - Active ETF | $296M | +0.27% | — | — | — |
| SVR | SOLVAR LIMITED | $296M | +0.96% | 43 | Breakdown | Downtrend |
| PIA | PENGANA INTERNATIONAL EQUITIES LIMITED | $295M | +0.44% | 35 | Breakdown | Downtrend |
| DIFF | Perpetual Diversified Income Active ETF | $292M | 0.00% | 36 | Emerging | Distribution |
| HVST | Betashares Australian Dividend Harvester Active ETF | $290M | -0.96% | 54 | Neutral | Uptrend |
| EBND | Vaneck Emerging Income Opportunities Active ETF | $289M | 0.00% | 35 | Emerging | Distribution |
| HQUS | Betashares S&P 500 EQUAL Weight Currency Hedged ETF | $289M | +0.73% | 55 | Emerging | Uptrend |
| OZR | SPDR S&P/ASX 200 Resources ETF | $288M | -1.61% | 30 | Emerging | Uptrend |
| DFND | Vaneck Global Defence ETF | $285M | +0.03% | 35 | Emerging | Uptrend |
| GVF | STAUDE CAPITAL GLOBAL VALUE FUND LIMITED | $282M | +0.72% | 48 | Neutral | Distribution |
| GCQF | GCQ Global Equities Complex ETF | $279M | +2.52% | 43 | Emerging | Uptrend |
| AMH | AMCIL LIMITED | $277M | -3.30% | 30 | Breakdown | Downtrend |
| PAXX | Platinum Asia Fund Complex ETF | $277M | -0.51% | 36 | Neutral | Accumulation |
| QHSM | Vaneck MSCI Intl SML Comp Quality (Aud Hedged) ETF | $277M | -0.71% | 36 | Emerging | Uptrend |
| RGB | Russell Investments Australian Government Bond ETF | $277M | -0.11% | 36 | Neutral | Distribution |
| FID | FIDUCIAN GROUP LIMITED | $272M | +1.53% | 33 | Emerging | Accumulation |
| GXAI | Global X Artificial Intelligence ETF | $265M | +0.84% | 33 | Emerging | Accumulation |
| PGI2 | Plato Global Shares Income Fund - Active ETF | $261M | 0.00% | 43 | Emerging | Uptrend |
| ESGI | Vaneck MSCI International Sustainable Equity ETF | $260M | +0.29% | 51 | Emerging | Uptrend |
| LF1 | LA TROBE PRIVATE CREDIT FUND | $260M | +0.26% | 36 | Breakdown | Downtrend |
| PCX | PENGANA GLOBAL PRIVATE CREDIT TRUST | $257M | 0.00% | 38 | Breakdown | Downtrend |
| FUEL | Betashares Global Energy Comp Currency Hedged ETF | $252M | +0.58% | 39 | Emerging | Distribution |
| ARMR | Betashares Global Defence ETF | $249M | -0.47% | 37 | Emerging | Uptrend |
| LHGG | Lakehouse Global Growth Fund Active ETF | $248M | +4.52% | 41 | Emerging | Uptrend |
| AIX | Ai Private Opportunities Trust | $244M | +0.99% | — | — | — |
| GHLD | Global X Gold Bullion (Currency Hedged) ETF | $243M | -1.14% | 47 | Emerging | Uptrend |
| GRNV | Vaneck MSCI Australian Sustainable Equity ETF | $243M | -0.74% | 52 | Emerging | Uptrend |
| IHHY | Ishares Global High Yield Bond (Aud Hedged) ETF | $240M | +0.17% | 37 | Emerging | Distribution |
| NNWH | Nanuk New World Fund (Currency Hedged) Active ETF | $238M | +0.36% | 37 | Emerging | Accumulation |
| MTUM | Betashares Australian Momentum ETF | $236M | -1.79% | 35 | Emerging | Uptrend |
| NUGG | Vaneck Gold Bullion ETF | $234M | -1.20% | 41 | Emerging | Uptrend |
| CDM | CADENCE CAPITAL LIMITED | $232M | -0.64% | 46 | Neutral | Distribution |
| LEND | Vaneck GLBL Listed Private Credit (Aud Hedged) ETF | $230M | +1.75% | 37 | Emerging | Distribution |
| VBTC | Vaneck Bitcoin ETF | $230M | -1.31% | 28 | Distribution | Accumulation |
| CCV | CASH CONVERTERS INTERNATIONAL | $224M | 0.00% | 44 | Neutral | Accumulation |
| MNRS | Betashares Global Gold Miners Currency Hedged ETF | $224M | -2.39% | 34 | Emerging | Accumulation |
| MVS | Vaneck Small Companies Masters ETF | $222M | -0.36% | 36 | Emerging | Uptrend |
| # | Time | Sector | Code | Chk | MCap | Company | Announcement Heading | AI Summary | MQS | D% | W% | M% | Y% | Signal | Opportunity | Verdict | Confidence | Turnover | PrvClose-Open-Last | YTD Range | Day Range | 10D News Links | 2× Vol | RSI | 14D Avg Gain | 14D Avg Loss | 60D % Trend | 60D $ Trend |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
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| # | Date | Code | MCap | Company | Chg % | Turnover | Volume | PrvClose-Open-Last | Day Range | Last | Day Low-High | Announcements | Sensitive | AI Summary |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
DaysInPhase ≥ 0
📖 Read Me · Momentum
| # | Sector | Code | MCap | Company | YTD Range | Day Range | Price | Turnover | D% | W% | M% | Y% | MQS | Confidence | Trend Stage | Trend Age | Dur | R² | ATR% | MaxDD | RSI | MACD H | Vol× | % of 52W High | Avg Vol | Risk | Inst Accum | Phase | DaysIn | Weekly |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
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| # | Date | Exchange | Code | Mkt Cap | Company | Prev-Open-Cur | Day Range | Chg % | Turnover | Volume |
|---|---|---|---|---|---|---|---|---|---|---|
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Min 5D+
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| # | Account | Broker | Code | Company | Mkt Cap | Buy Date | Units | Cost Basis | Prev Close | Last | Chg % | Volume | Turnover | Total Return % | Days Held | Portfolio Cost | Portfolio Value | Profit/Loss | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
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Get in touch
Questions, ideas, a data problem you've spotted, or a business proposal - it all arrives in the same place. We read everything.
💰 Admin Buy
📖 Read Me
What this tab is
A ranked shortlist for a buy-today / sell-tomorrow hold. It is not a recommendation and not a prediction. End-of-day data carries no reliable overnight edge - tested across 510 liquid ASX stocks and 120,088 three-day sequences, no simple daily price pattern produced an edge that survived transaction costs. The value is in what gets excluded, not in the ranking.
The ranking is provisional
The score was rebuilt from measurement on 2026-07-30 after the original version tested as inverted - ranking by it was worse than random. The replacement has a real edge on 16 days of data (+0.72% between top and bottom decile, ~+0.47% after costs), but that is 16 days of one market regime, and it is a mean-reversion signal: it will fail in a sustained downtrend. It also shows up as a broad decile tilt, not reliably in the top few names - the top 20 beat the market on only 7 of 16 days. Treat the ordering as a mild lean, not a shortlist of best ideas.
Why the list is short
Each gate removes trades that cannot work regardless of how good the setup looks. Typical run: 2,511 → ~645, of which ~300 are tradable at $20k.
| Excluding ETFs | you are picking stocks; ETFs behave differently |
| Price ≥ $0.20 | below this the tick size alone costs ~0.5-1% each way |
| Traded that day | excludes halts and suspensions |
| ATR% ≥ 2 | the daily range must beat brokerage + spread, or the trade cannot pay |
| RSI ≤ 78 | not already exhausted |
| Gap within ±8% | avoids chasing a move that already happened |
| Liquidity | position ≤ 2% of average daily turnover - 77% of the ASX fails this at $20k |
Columns that need explaining
| Part% | your position as a share of average daily dollar turnover. Above 2% you are a meaningful part of the day’s flow and cannot assume a clean exit. |
| ATR% | average true range - how far the stock typically moves in a day, as a % of price. Volatility, not direction: the same number applies to the downside. |
| ATR $ | that range in dollars on your position. Not expected profit. ATR measures the day’s high-to-low range, while a typical close-to-close move is much smaller - QAN has ATR 2.1% but a median day of 0.75%. Read it as “is there enough movement to be worth transacting?” |
| Score | Two components, both measured rather than reasoned: low 5-day relative strength and bearish Wyckoff phase. The original eight-component version was tested over 5,101 observations and ranked worse than random (top decile −0.29%, bottom +0.28%, t=−3.33). Only those two had individual signal, and both pointed the other way, so they were flipped and the rest dropped - six components and 50 of 108 weight points were doing nothing. Inverted: top decile +0.31% vs bottom −0.41%, t=+4.56. This ranks short-term WEAKNESS, not strength - it is a mean-reversion screen. Hover a row for the breakdown. Liquidity is deliberately excluded - it decides whether a trade is takeable, not whether it will rise, which is why the position slider re-filters without re-ranking. |
| Conf | model confidence in the trend read. Green = High, which is rare. |
Trade levels - derived, not forecast
| Entry | a quarter-ATR below last price: buy the day’s mid rather than chase the close |
| Stop | the lower of (support − ¼ ATR) and (entry − 1 ATR). Floored at a full ATR because support usually resolves to VWAP, which sits ~1% from price - a stop that tight is taken out by ordinary noise before the idea has failed, and it inflated R:R to a flattering 4.7:1. |
| Target | entry + 0.75 ATR, never projected through resistance. Measured over 5,101 pick-days: an intraday high reached 1.5 ATR on only 3.4% of them, so the previous setting was decorative. 0.75 ATR is reached 21% of the time; the median move is 0.38 ATR. |
| R:R is below 1 by construction | The most important thing on this page. A stop must sit at least 1 ATR away to survive ordinary noise, but a target reachable in one day cannot exceed ~0.75 ATR. So overnight reward:risk is structurally 0.75 - you are risking more than you can realistically make. At 0.75 you need a ~57% win rate to break even, and the measured up-rate on these picks is about 50%. Read the levels as “where this might plausibly get to before you sell at the close”, not as a system with positive expectancy. A one-day holding period is the binding constraint, not the levels. |
| R:R | reward ÷ risk, capped at 0.75. Read the caution below before using it - the ceiling is structural, not a setting. |
Basis codes - how much to trust a level
S:vwap/R:52wH means support came from VWAP, resistance from the
52-week high.
bbL / bbU | Bollinger lower / upper band - statistical, solid |
ema20 | 20-day moving average - widely watched |
vwap | volume-weighted average price - soft, and it moves during the session |
52wH | 52-week high - strongest, everyone can see it |
atr | weakest - invented. No real level qualified, so a volatility projection was used. On the support side it means price is below its Bollinger band, EMA20 and VWAP: nothing underneath. The stop matters most on exactly these rows. |
R:52wH appears when a stock trades above its upper Bollinger
band - a breakout, where that band would otherwise give a
“resistance” below the current price.
Timing
The list is a daily snapshot; intraday re-runs replace that day’s rows while earlier days stay as history. Today’s volume feeds the score and accumulates through the session, so a 10am ranking is genuinely less settled than a 3pm one - the banner above shows how far through a normal day’s volume the data currently is.
Colour coding
Eight columns are graded against the thresholds below. One shared function drives both the table and this list, so they cannot disagree. Green favourable · amber caution · red unfavourable. Anything neutral stays plain, so only decision-relevant cells carry colour.
| Part% | ≤0.5 · 0.5-2 · >2 |
| ATR% | 2.5-6 · 2-2.5 or 6-8 · >8 |
| RSI | 45-65 · >72 or <35 |
| Vol× | ≥2 · <0.8 |
| R:R | ≥0.70 · 0.45-0.70 · <0.45 - the ceiling is 0.75, see below |
| MQS | ≥50 · <25 |
| Conf | High · Medium |
| Phase | not graded - it predicts inversely (see What to look for), and neither colour would be honest |
| Basis | bbL + bbU · contains atr |
D% / W% / M% / Y% are not graded - they keep plain up-down colour, where the sign is the meaning. A green ATR% means “a useful amount of movement”, not “the price rose”; the grading classes are deliberately separate from the ones used for gains and losses so the two are never confused.
What to look for
| Part% < 0.5 | you are a rounding error in the day’s flow - exit whenever you want |
| Basis S:bbL/R:bbU | both levels are real bands rather than projections. About a third of the list. |
| R:R = 1.50 | the maximum. Means resistance is far enough away not to cap the target. |
| ATR% 2-6 | enough daily movement to clear costs, not so much the position becomes unmanageable overnight |
| Vol× ≥ 2 | today’s move has real participation behind it, not drift on thin volume |
| Phase | Reverse your intuition here. Measured over 5,101 observations, bearish phases (Distribution / Downtrend) preceded BETTER next-day returns - this is mean reversion, and it is why the score now rewards them. The column is left uncoloured on purpose: green-for-Downtrend would be dangerous if you hold beyond one session, red would contradict the score. Only valid for a one-day hold, and only while the market keeps mean-reverting. |
| Score and liquid | the combination. A high score you cannot exit is not an opportunity. |
Cautions
| Overnight gaps | Your stop cannot protect you while the market is closed. Price can open straight through it. This is the defining risk of holding overnight and no level on this screen mitigates it - only position size does. |
| High score, thin liquidity | the most common trap here. The ranking ignores liquidity by design, so the top row is regularly untradable - today’s number one sat at 9.1% of daily turnover. Always read Part% next to Score. |
| Very high ATR% | ATR is symmetric. A stock that typically moves 16% a day moves 16% down just as readily, and those names are usually near the price floor where the spread is punishing too. |
| Basis shows atr | no real support qualified - price is below its Bollinger band, EMA20 and VWAP. There is nothing underneath it. |
| RSI > 72 | you are buying after the move and paying for someone else’s gain. Scored as a penalty, not blocked. |
| News flag | an announcement can invalidate every technical level on the row. Read it before acting, never after. |
| Early in the session | volume feeds the score and is still accumulating. Below ~90% maturity the ranking will still move. |
| R:R < 1.5 | resistance is close enough that the upside does not pay for the downside. Skip it whatever the score says - about half the list. |
| Costs | brokerage plus spread on a $20k round trip comes out of a median daily move of roughly $150. Costs are certain; the edge is not. |
Sizing and every decision remain yours. None of this accounts for your circumstances, and none of it is financial advice.
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