advisorguide relative strength ranking for exchange traded...
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AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
PEJ PowerShares Dynamic Leisure 0 Sector - Consumer Cyclical 7.44% 20.15% 27.33% -1.32% 70.92% 38
RCD Rydex S&P Equal Weight Consumer Discretionary 0 Sector - Consumer Cyclical 7.05% 15.08% 22.68% -1.37% 83.67% 49
XRT SPDR S&P Retail 1 Sector - Retail 6.73% 21.18% 20.80% -1.30% 74.39% 53
VCR Vanguard Consumer Discretionary 1 Sector - Consumer Cyclical 6.53% 16.05% 23.38% -1.35% 66.44% 62
FXD First Trust Consumer Discretionary AlphaDEX 1 Sector - Consumer Cyclical 6.63% 16.21% 21.44% -1.44% 76.38% 77
XLY Consumer Discretionary Select Sector SPDR 1 Sector - Consumer Cyclical 6.25% 14.86% 22.21% -1.32% 61.06% 91
PBS PowerShares Dynamic Media 1 Sector - Consumer Cyclical 6.65% 17.46% 26.61% -1.92% 81.21% 141
UCC ProShares Ultra Consumer Services 1 Sector - Consumer Cyclical 10.51% 27.85% 36.18% -2.52% 120.84% 147
JJN iPath DJ-AIG Nickel TotRet ETN 1 Commodities - Industrial Metals (Specific) 22.26% 44.79% 42.56% -2.36% 146.19% 154
DES WisdomTree SmallCap Dividend 2 Small Cap Blend 5.29% 13.73% 18.95% -1.24% 72.06% 171
IYC iShares Dow Jones US Consumer Services Sector 2 Sector - Consumer Cyclical 5.24% 13.08% 17.33% -1.16% 51.28% 219
FXZ First Trust Materials AlphaDEX 2 Sector - Basic Materials 5.78% 12.84% 21.28% -1.26% 92.38% 228
DSV SPDR Dow Jones Small Cap Value 2 Small Cap Value 5.71% 13.67% 19.47% -1.52% 72.78% 234
USD ProShares Ultra Semiconductor 2 Sector - Semiconductor 17.51% 26.83% 41.16% -2.80% 158.25% 256
VBR Vanguard Small-Cap Value 3 Small Cap Value 5.75% 13.64% 18.24% -1.43% 69.27% 264
DSC SPDR Dow Jones Small Cap 3 Small Cap Blend 5.86% 12.67% 17.80% -1.32% 70.80% 293
PNXQ PowerShares NXQ 3 Speciality Funds 5.67% 12.31% 21.69% -1.58% 63.07% 297
UXI ProShares Ultra Industrials 3 Sector - Industrial 9.97% 20.14% 36.48% -2.69% 148.76% 300
PEZ PowerShares Dynamic Consumer Discretionary 3 Sector - Consumer Cyclical 6.70% 15.66% 20.24% -1.34% 48.27% 307
UVT ProShares Ultra Russell 2000 Value 3 Small Cap Value 11.94% 28.57% 36.33% -3.04% 146.47% 314
TNA Daily SmallCap Bull 3x(Dx) 3 Daily Funds 15.75% 40.01% 49.91% -3.81% 245.89% 322
RYJ Claymore/Raymond James SB-1 Equity 3 Mid-Cap Blend 4.66% 12.27% 19.16% -1.32% 64.84% 350
UKW ProShares Ultra Russell MidCap Growth 4 Mid Cap Growth 7.46% 19.12% 30.62% -2.52% 135.28% 400
MWJ Daily MidCap Bull 3x(Dx) 4 Daily Funds 11.16% 28.71% 45.96% -4.70% 249.81% 404
RRY Rydex 2X Russell 2000 4 Small Cap Blend 10.70% 25.55% 32.89% -2.62% 142.50% 405
SAA ProShares Ultra Small Cap 600 4 Small Cap Blend 9.82% 24.90% 33.75% -2.27% 136.44% 407
VB Vanguard Small-Cap 4 Small Cap Blend 5.36% 13.07% 17.96% -1.38% 67.41% 408
PMR PowerShares Dynamic Retail 4 Sector - Retail 7.34% 17.58% 18.74% -1.15% 44.19% 413
Copyright 2010 All Rights Reserved Page 1 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
UWM ProShares Ultra Russell 2000 4 Small Cap Blend 10.55% 25.63% 32.88% -2.66% 138.60% 424
FNX First Trust Mid Cap Core AlphaDEX 4 Mid Cap Blend 4.33% 12.27% 18.31% -1.17% 68.60% 439
KIE SPDR KBW Insurance 4 Sector - Insurance 7.20% 16.45% 17.38% -2.31% 92.18% 446
QLD ProShares Ultra QQQ 4 Large Cap Growth 8.48% 15.89% 32.32% -2.36% 128.86% 448
PJM PowerShares Dynamic Small Cap 4 Small Cap Blend 5.63% 13.91% 17.97% -0.89% 51.93% 452
IGW iShares S&P North American Technology - Semiconductors 4 Sector - Semiconductor 8.27% 12.89% 20.13% -1.45% 66.88% 455
IWN iShares Russell 2000 Value 5 Small Cap Value 6.01% 13.86% 18.31% -1.54% 62.95% 465
MVV ProShares Ultra Midcap 400 5 Mid Cap Blend 7.65% 21.55% 33.28% -2.51% 140.95% 473
FYX First Trust Small Cap Core AlphaDEX 5 Small Cap Blend 5.17% 12.22% 17.39% -0.94% 67.16% 483
JKJ iShares Morningstar Small Core 5 Small Cap Blend 5.74% 12.48% 17.08% -1.42% 66.86% 485
RWJ RevenueShares Small Cap 5 Small Cap Blend 6.14% 15.19% 16.01% -1.13% 84.30% 532
NFO Claymore/Sabrient Insider 5 Mid Cap Growth 4.45% 10.43% 15.69% -1.28% 73.29% 546
EZM WisdomTree MidCap Earnings 5 Mid Cap Blend 4.10% 10.58% 16.79% -1.01% 71.78% 549
IJS iShares S&P SmallCap 600 Value 5 Small Cap Value 5.09% 13.56% 18.67% -1.26% 61.12% 552
IYJ iShares Dow Jones US Industrial Sector 5 Sector - Industrial 4.93% 9.91% 17.62% -1.36% 61.47% 558
JKL iShares Morningstar Small Value 5 Small Cap Value 4.68% 12.90% 20.78% -1.68% 81.84% 559
XLI Industrial Select Sector SPDR 5 Sector - Industrial 4.62% 10.77% 19.77% -1.62% 62.56% 562
VBK Vanguard Small-Cap Growth 6 Small Cap Growth 5.09% 12.51% 17.47% -1.28% 65.96% 570
UKK ProShares Ultra Russell 2000 Growth 6 Small Cap Growth 9.19% 22.32% 29.37% -2.02% 132.50% 584
RFV Rydex S&P 400 Pure Value 6 Mid Cap Value 4.86% 13.48% 24.54% -1.77% 111.56% 593
VIS Vanguard Industrial 6 Sector - Industrial 5.04% 10.27% 18.79% -1.57% 62.21% 593
XSD SPDR S&P Semiconductor 6 Sector - Semiconductor 6.72% 14.24% 27.10% -1.77% 80.20% 639
RWK RevenueShares Mid Cap 6 Mid Cap Blend 4.41% 10.99% 16.92% -1.12% 69.51% 657
IYT iShares Dow Jones Transportation Average 6 Sector - Transportation 6.25% 12.10% 16.82% -1.60% 62.70% 665
UVU ProShares Ultra Russell MidCap Value 7 Mid Cap Value 7.30% 20.02% 31.67% -3.89% 153.15% 686
RZV Rydex S&P 600 Pure Value 7 Small Cap Value 8.88% 24.14% 16.29% -1.51% 137.75% 687
IJR iShares S&P SmallCap 600 7 Small Cap Blend 5.04% 12.34% 17.10% -1.01% 58.93% 699
SMH HOLDERS Semiconductors 7 HOLDERS 8.62% 12.01% 18.06% -1.35% 59.79% 700
Copyright 2010 All Rights Reserved Page 2 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
EES WisdomTree SmallCap Earnings 7 Small Cap Blend 6.26% 10.83% 13.74% -0.78% 79.76% 712
IAT iShares Dow Jones US Regional Banks 7 Sector - Banking 6.06% 15.38% 23.84% -3.25% 58.44% 718
IWC iShares Russell Microcap 7 Micro Cap 6.97% 14.55% 15.53% -1.29% 62.44% 729
BVL Elements Benjmn Graham LargeCap Value ETN 7 Large Cap Blend 3.90% 5.80% 11.59% 0.00% 69.66% 746
FXR First Trust Industrials/Producer Durables AlphaDEX 7 Sector - Industrial 5.25% 9.57% 20.11% -1.75% 71.91% 750
EMV SPDR Dow Jones Mid Cap Value 7 Mid Cap Value 4.14% 10.19% 16.92% -1.58% 64.89% 751
KRE SPDR KBW Regional Banking 8 Sector - Banking 6.11% 16.86% 29.39% -2.85% 59.11% 791
PXQ PowerShares Dynamic Networking 8 Sector - Networking 3.81% 16.39% 22.76% -1.51% 75.39% 797
IWM iShares Russell 2000 8 Small Cap Blend 5.24% 12.50% 16.61% -1.34% 59.72% 802
RFG Rydex S&P 400 Pure Growth 8 Mid Cap Growth 4.20% 12.50% 17.14% -1.29% 72.78% 813
RTH HOLDERS Retail 8 HOLDERS 4.26% 12.40% 13.24% -0.92% 41.82% 820
VXF Vanguard Extended Market 8 Small Cap Blend 4.65% 11.00% 16.70% -1.33% 62.82% 825
PZJ PowerShares Small Cap 8 Small Cap Blend 6.66% 12.82% 15.69% -1.07% 53.90% 836
PZI PowerShares/Zacks Micro Cap 8 Micro Cap 8.84% 15.12% 17.43% -1.70% 54.68% 874
PWO PowerShares Dynamic OTC 8 Large Cap Growth 4.64% 11.61% 15.04% -0.92% 44.21% 878
BGU Daily LargeCap Bull 3x(Dx) 9 Daily Funds 9.25% 16.69% 32.53% -4.67% 186.93% 898
PJG PowerShares Dynamic Mid Cap 9 Mid Cap Blend 4.65% 9.59% 15.39% -0.73% 47.53% 899
ONEQ NASDAQ Composite Index Tracking Stock 9 Broad Market Funds 4.60% 8.77% 15.71% -1.19% 55.13% 944
FAB First Trust Multi Cap Value AlphaDEX 9 Mid Cap Value 3.47% 9.23% 16.47% -1.12% 68.60% 958
PSI PowerShares Dynamic Semiconductors 9 Sector - Semiconductor 8.32% 14.58% 21.45% -2.37% 56.15% 978
JKH iShares Morningstar Mid Growth 10 Mid Cap Growth 3.83% 10.38% 16.07% -1.19% 56.41% 983
IJK iShares S&P MidCap 400 Growth 10 Mid Cap Growth 3.98% 11.47% 15.99% -1.09% 58.07% 986
QTEC First Trust NASDAQ-100 Technology Sector 10 Sector - Technology 4.91% 8.55% 17.31% -1.21% 63.64% 997
DON WisdomTree MidCap Dividend 10 Mid Cap Blend 3.21% 10.11% 17.00% -1.27% 69.26% 1,013
FAD First Trust Multi-Cap Growth AlphaDEX 10 Broad Market Funds 4.35% 11.52% 16.76% -1.49% 53.11% 1,022
QQQQ PowerShares QQQ 10 Large Cap Growth 4.30% 8.14% 16.11% -1.20% 54.40% 1,026
IAH HOLDERS Internet Architecture 10 HOLDERS 5.03% 7.14% 14.18% -0.22% 54.57% 1,029
PWY PowerShares Dynamic Small Cap Value 10 Small Cap Value 4.41% 12.24% 16.73% -1.15% 54.58% 1,037
Copyright 2010 All Rights Reserved Page 3 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
TYH Daily Technology Bull 3x(Dx) 10 Daily Funds 13.39% 14.31% 42.70% -4.20% 232.00% 1,040
CZA Claymore/Zacks Mid-Cap Core 10 Mid Cap Blend 3.94% 9.24% 15.02% -1.37% 57.42% 1,050
DSG SPDR Dow Jones Small Cap Growth 10 Small Cap Growth 4.84% 11.73% 16.55% -1.36% 68.32% 1,074
XHB SPDR S&P Homebuilders 11 Sector - Home Construction 5.50% 14.47% 15.88% -2.46% 67.39% 1,096
PBE PowerShares Dynamic Biotechnology and Genome 11 Sector - Biotechnology 2.37% 15.29% 16.17% -0.35% 64.02% 1,125
IJT iShares S&P SmallCap 600 Growth 11 Small Cap Growth 4.93% 10.98% 15.03% -0.99% 56.27% 1,126
PRFZ PowerShares FTSE RAFI US 1500 Small-Mid 11 Small Cap Blend 5.20% 14.46% 16.86% -1.32% 91.95% 1,147
MDY S&P 400 MidCap SPDR 11 Mid Cap Blend 3.82% 10.71% 16.61% -1.25% 59.00% 1,153
IJH iShares S&P MidCap 400 11 Mid Cap Blend 3.83% 10.72% 16.66% -1.29% 59.51% 1,155
PWT PowerShares Dynamic Small Cap Growth 11 Small Cap Growth 5.84% 10.92% 17.64% -0.97% 43.63% 1,159
FDM First Trust Dow Jones Select Microcap 11 Micro Cap 5.68% 10.93% 14.51% -0.84% 57.32% 1,177
IAK iShares Dow Jones US Insurance 11 Sector - Insurance 4.85% 12.50% 13.46% -2.22% 73.01% 1,187
ROM ProShares Ultra Technology 12 Sector - Technology 9.01% 10.60% 28.70% -2.68% 131.08% 1,201
HHH HOLDERS Internet Holdings 12 HOLDERS 5.00% 11.86% 22.78% -2.65% 67.49% 1,203
PQSC PowerShares FTSE NASDAQ Small Cap 12 Small Cap Blend 5.80% 11.44% 14.80% -1.39% 58.57% 1,211
DDM ProShares Ultra Dow 30 12 Large Cap Blend 6.38% 8.49% 22.81% -2.32% 100.69% 1,255
RYT Rydex S&P Equal Weight Technology 12 Sector - Technology 4.72% 9.04% 16.72% -1.30% 60.87% 1,263
KBE SPDR KBW Bank 12 Sector - Banking 6.74% 17.85% 16.28% -4.01% 75.42% 1,264
PWJ PowerShares Dynamic Mid Cap Growth 12 Mid Cap Growth 4.79% 12.07% 15.43% -1.50% 41.59% 1,273
IJJ iShares S&P MidCap 400 Value 12 Mid Cap Value 3.84% 9.98% 17.17% -1.43% 60.81% 1,280
UKF ProShares Ultra Russell 1000 Growth 13 Large Cap Growth 5.46% 9.44% 23.29% -2.46% 105.61% 1,303
UVG ProShares Ultra Russell 1000 Value 13 Large Cap Value 7.02% 12.69% 20.41% -4.10% 113.15% 1,339
RGI Rydex S&P Equal Weight Industrial 13 Sector - Industrial 4.65% 9.19% 15.98% -1.92% 59.99% 1,353
IWO iShares Russell 2000 Growth 13 Small Cap Growth 4.60% 11.00% 15.04% -1.01% 56.53% 1,378
JKI iShares Morningstar Mid Value 14 Mid Cap Value 3.69% 10.12% 16.16% -1.87% 68.15% 1,397
FAA Claymore NYSE ARCA Airline 14 Sector - Airlines 3.73% 13.35% 34.82% -2.78% 111.48% 1,405
IWP iShares Russell Midcap Growth 14 Mid Cap Growth 3.58% 9.35% 15.09% -1.32% 56.75% 1,412
FAS Daily Financial Bull 3x(Dx) 14 Daily Funds 13.15% 29.06% 21.92% -11.44% 220.21% 1,434
Copyright 2010 All Rights Reserved Page 4 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
SSO ProShares Ultra S&P 500 14 Large Cap Blend 5.94% 10.48% 20.65% -3.13% 104.63% 1,489
RSU Rydex 2X S&P 500 15 Large Cap Blend 5.90% 10.45% 20.86% -3.18% 104.65% 1,528
FXL First Trust Techonology AlphaDEX 15 Sector - Technology 3.68% 9.47% 19.00% -1.37% 67.99% 1,534
PBJ PowerShares Dynamic Food and Beverage 15 Sector - Consumer Staples 3.35% 12.55% 14.16% -0.43% 33.75% 1,537
FTC First Trust Large Cap Growth Opportunities AlphaDEX 15 Large Cap Growth 4.37% 10.12% 15.96% -1.64% 48.45% 1,560
EMM SPDR Dow Jones Mid Cap 16 Mid Cap Blend 3.56% 9.43% 16.08% -1.56% 64.57% 1,610
UYG ProShares Ultra Financials 16 Sector - Financial Services 8.68% 19.75% 18.01% -7.55% 139.39% 1,622
IWR iShares Russell Midcap 16 Mid Cap Blend 3.60% 9.66% 15.54% -1.62% 60.36% 1,637
FXO First Trust Financial AlphaDEX 16 Sector - Financial Services 3.96% 9.60% 12.98% -2.38% 70.71% 1,638
CSD Claymore/Clear Spin-Off 16 Mid Cap Blend 2.85% 10.66% 19.04% -1.80% 75.29% 1,645
RTG Rydex 2X S&P Select Sectors Technology 16 Sector - Technology 8.26% 8.98% 26.03% -2.41% 106.02% 1,651
PYZ PowerShares Dynamic Basic Materials 16 Sector - Basic Materials 5.52% 8.60% 16.00% -1.67% 72.80% 1,658
PDP PowerShares DWA Technical Leaders 16 Speciality/Strategy 3.99% 11.29% 15.41% -1.68% 57.35% 1,674
PWP PowerShares Dynamic Mid Cap Value 17 Mid Cap Value 3.85% 8.77% 13.61% -1.16% 49.76% 1,708
PEY PowerShares High Yield Equity Dividend Achievers 17 High Yielding Equity 3.63% 9.06% 11.88% -0.94% 53.47% 1,718
WMW Elements MorningStar Wide Moat Focus ETN 17 Speciality/Strategy 6.79% 4.84% 13.66% -0.52% 56.62% 1,726
VOT Vanguard Mid Cap Growth 17 Mid Cap Growth 3.86% 8.98% 15.50% -1.46% 56.34% 1,759
JKK iShares Morningstar Small Growth 17 Small Cap Growth 3.95% 11.99% 15.15% -1.39% 55.07% 1,764
VGT Vanguard Information Technology 17 Sector - Technology 4.61% 6.29% 14.84% -1.25% 56.71% 1,766
QQEW First Trust NASDAQ-100 Equal Weighted 17 Large Cap Growth 3.54% 8.58% 14.94% -1.37% 60.06% 1,776
PKW PowerShares Buyback Achievers 17 Speciality/Strategy 3.26% 6.34% 13.04% -0.62% 49.43% 1,788
PIC PowerShares Insurance 17 Sector - Insurance 4.12% 14.19% 12.12% -1.38% 41.01% 1,797
PJB PowerShares Dynamic Banking 18 Sector - Banking 5.67% 12.03% 14.14% -1.55% 30.81% 1,812
JJM iPath DJ-AIG Industrial Metals TotRet ETN 18 Commodities - Industrial Metals (Broad) 7.72% 7.59% 24.35% -2.19% 79.52% 1,830
FIW First Trust ISE Water 18 Sector - Water Resources 5.65% 7.93% 12.98% -0.96% 45.51% 1,848
IHI iShares Dow Jones US Medical Devices 18 Sector - Healthcare 2.36% 8.37% 17.88% -1.03% 57.23% 1,855
FDV First Trust DB Strategic Value 18 Large Cap Value 3.10% 5.93% 12.68% -0.77% 50.96% 1,865
IWS Russell MidCap Value iShares 18 Mid Cap Value 3.71% 10.09% 15.95% -2.00% 63.60% 1,871
Copyright 2010 All Rights Reserved Page 5 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
VO Vanguard Mid-Cap 18 Mid Cap Blend 3.51% 9.17% 15.86% -1.70% 60.72% 1,883
PIV PowerShares Value Line Timeliness Select 18 Speciality/Strategy 5.30% 9.71% 13.35% -0.89% 33.37% 1,889
EMG SPDR Dow Jones Mid Cap Growth 19 Mid Cap Growth 3.55% 9.10% 15.93% -1.44% 65.22% 1,913
RSP Rydex S&P 500 Equal Weight 19 Large Cap Blend 3.40% 8.20% 14.58% -1.64% 62.91% 1,915
XRO Claymore/Zacks Sector Rotation 19 Speciality/Strategy 4.94% 9.91% 16.72% -1.92% 42.79% 1,927
QQXT First Trust NASDAQ-100 ex-Technology Sector 19 Large Cap Growth 3.15% 8.86% 13.07% -1.01% 57.33% 1,932
PNQI PowerShares NASDAQ Internet 19 Sector - Internet 3.23% 11.67% 18.95% -3.00% 71.06% 1,935
IGM iShares S&P North American Technology Sector 19 Sector - Technology 4.42% 6.37% 14.83% -1.37% 54.19% 1,939
RWW RevenueShares Financial Sector 19 Sector - Financial Services 6.83% 14.35% 11.26% -3.94% 81.37% 1,956
FEX First Trust Large Cap Core AlphaDEX 19 Large Cap Blend 3.22% 7.97% 15.02% -1.44% 53.64% 1,959
PIQ PowerShares Magniquant 19 Speciality/Strategy 4.53% 8.75% 13.53% -1.05% 40.96% 1,988
FTA First Trust Large Cap Value Opportunities AlphaDEX 20 Large Cap Value 2.93% 6.49% 15.06% -1.28% 60.47% 2,043
RZG Rydex S&P 600 Pure Growth 20 Small Cap Growth 5.04% 10.56% 10.30% -1.08% 60.79% 2,044
UGE ProShares Ultra Consumer Goods 20 Sector - Consumer Staples 2.43% 10.86% 21.53% -1.69% 96.86% 2,062
RYF Rydex S&P Equal Weight Financial 20 Sector - Financial Services 4.03% 11.95% 15.27% -3.97% 81.39% 2,066
RWL RevenueShares Large Cap 21 Large Cap Blend 3.24% 7.20% 12.69% -1.44% 52.99% 2,128
FVI First Trust Value Line Equity Allocation 21 Speciality/Strategy 2.94% 7.13% 14.20% -1.10% 56.11% 2,130
ITA iShares Dow Jones US Aerospace & Defense 21 Sector - Aerospace & Defense 2.04% 8.10% 19.96% -1.06% 59.34% 2,145
OTR Claymore/Ocean Tomo Growth 21 Large Cap Growth 2.62% 5.39% 15.68% -0.88% 52.72% 2,151
VOE Vanguard Mid Cap Value 21 Mid Cap Value 3.04% 9.24% 16.22% -1.91% 64.72% 2,173
FDN First Trust Dow Jones Internet 21 Sector - Internet 3.22% 11.57% 16.72% -2.61% 64.85% 2,209
RHS Rydex S&P Equal Weight Consumer Staples 21 Sector - Consumer Staples 2.31% 8.57% 11.46% -0.27% 43.90% 2,217
SDY SPDR S&P Dividend 22 High Yielding Equity 2.85% 7.87% 12.42% -0.93% 44.57% 2,249
JKG iShares Morningstar Mid Core 22 Mid Cap Blend 3.55% 8.42% 14.99% -1.81% 57.60% 2,254
IYW iShares Dow Jones US Technology Sector 22 Sector - Technology 4.50% 5.61% 14.31% -1.32% 54.75% 2,261
RKH HOLDERS Banks Regional 22 HOLDERS 6.24% 12.14% 10.23% -3.24% 63.73% 2,280
PWV PowerShares Dynamic Large Cap Value 22 Large Cap Value 3.45% 6.43% 13.04% -1.20% 40.94% 2,316
LTL ProShares Ultra Telecom 23 Sector - Telecom 7.20% 11.89% 25.59% -2.65% 63.63% 2,325
Copyright 2010 All Rights Reserved Page 6 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
DSI iShares KLD 400 Social 23 Sector - Socially Responsible 3.45% 5.78% 12.51% -1.21% 47.03% 2,338
PYH PowerShares Value Line Industry Rotation 23 Speciality/Strategy 4.58% 9.07% 14.17% -1.39% 38.83% 2,340
EWW iShares MSCI Mexico Investable Market 23 Latin America - Mexico 4.71% 7.77% 14.82% -2.72% 79.04% 2,350
JJT iPath DJ-AIG Tin Tot Ret ETN 23 Commodities - Industrial Metals (Specific) 8.07% 2.16% 28.45% -2.07% 76.99% 2,364
RPG Rydex S&P 500 Pure Growth 23 Large Cap Growth 3.18% 8.51% 15.86% -1.96% 63.22% 2,369
RFL Rydex 2X S&P Select Sectors Financial 23 Sector - Financial Services 7.98% 18.13% 13.06% -8.38% 146.30% 2,370
PPA PowerShares Aerospace and Defense 23 Sector - Aerospace & Defense 2.46% 6.62% 15.83% -0.89% 52.75% 2,377
EZY WisdomTree Low P/E Income 23 Speciality/Strategy 3.24% 6.47% 10.82% -0.91% 49.94% 2,415
PSR PowerShares Active US Real Estate 23 Sector - Real Estate Domestic 2.36% 12.25% 23.37% -3.68% 81.92% 2,422
FPX First Trust IPOX-100 24 Speciality/Strategy 3.40% 5.78% 12.61% -1.59% 62.24% 2,448
URE ProShares Ultra Real Estate 24 Sector - Real Estate Domestic 2.22% 21.40% 44.24% -9.03% 183.26% 2,464
DVY iShares Dow Jones Select Dividend 24 High Yielding Equity 2.88% 6.55% 12.75% -1.16% 48.72% 2,488
JKD iShares Morningstar Large Core 24 Large Cap Blend 3.43% 6.04% 10.50% -0.82% 43.90% 2,509
MTK SPDR Morgan Stanley Technology 24 HOLDERS 3.42% 7.34% 14.44% -1.54% 55.86% 2,519
FBT First Trust Biotech 24 Sector - Biotechnology 0.27% 24.82% 31.40% -2.16% 101.52% 2,526
EWM iShares MSCI Malaysia 24 Pacific Rim - Malaysia 5.69% 7.12% 10.56% -1.90% 60.89% 2,527
RPV Rydex S&P 500 Pure Value 25 Large Cap Value 2.99% 9.44% 15.05% -2.72% 105.06% 2,561
PSJ PowerShares Dynamic Software 25 Sector - Software 2.35% 7.35% 14.47% -0.70% 57.48% 2,567
PQY PowerShares Active AlphaQ 25 Actively Managed 2.56% 7.53% 17.81% -1.60% 54.65% 2,578
STH Claymore/Sabrient Stealth 25 Small Cap Growth 4.86% 7.75% 9.71% -1.35% 50.67% 2,613
PSL PowerShares Dynamic Consumer Staples 25 Sector - Consumer Staples 3.00% 7.97% 9.19% -0.26% 37.17% 2,633
TMW SPDR Dow Jones Total Market 26 Broad Market Funds 3.28% 6.56% 12.07% -1.46% 48.28% 2,662
WOOD iShares S&P Global Timber & Forestry 26 Sector - Natural Resources 4.63% 5.99% 15.49% -1.35% 74.57% 2,676
DTN WisdomTree Dividend Top 100 26 High Yielding Equity 2.50% 5.79% 13.59% -1.11% 55.83% 2,736
BDG PowerShares DB Base Metals Long ETN 27 Commodities - Industrial Metals (Broad) 8.36% 3.30% 26.33% -2.21% 78.00% 2,738
IGN iShares S&P North American Technology - Multimedia 27 Sector - Networking 4.86% 9.50% 11.62% -1.98% 53.80% 2,758
FXG First Trust Consumer Staples AlphaDEX 27 Sector - Consumer Staples 2.23% 8.94% 10.43% -0.75% 43.67% 2,766
VFH Vanguard Financials 27 Sector - Financial Services 4.51% 11.38% 10.67% -3.97% 64.99% 2,775
Copyright 2010 All Rights Reserved Page 7 of 28
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AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
VTI Vanguard Total Stock Market 27 Broad Market Funds 3.32% 6.61% 11.76% -1.56% 49.18% 2,785
PTH PowerShares Dynamic Healthcare 27 Sector - Healthcare 2.39% 5.67% 17.81% -0.35% 49.07% 2,795
ELG SPDR Dow Jones Large Cap Growth 28 Large Cap Growth 2.93% 5.90% 12.46% -1.25% 48.80% 2,911
IWV iShares Russell 3000 28 Broad Market Funds 3.23% 6.57% 11.58% -1.52% 48.75% 2,918
FIO iShares FTSE NAREIT Industrial/Office Capped 28 Sector - Real Estate Specific 3.68% 8.48% 19.56% -4.90% 82.99% 2,919
AFK Market Vectors Africa 28 MENA - Broad 6.34% 9.76% 7.39% -2.03% 61.50% 2,927
PJF PowerShares Dynamic Large Cap 29 Large Cap Blend 3.63% 6.51% 11.34% -1.52% 39.39% 2,945
IXN iShares S&P Global Technology Sector 29 Sector - Technology 4.42% 5.02% 13.17% -1.59% 50.44% 2,983
EXI iShares S&P Global Industrials Sector 29 Sector - Industrial 3.56% 6.54% 12.96% -1.84% 58.60% 3,028
DOD Elements Dogs of the Dow ETN 29 Large Cap Blend 3.32% 5.81% 9.85% -0.93% 53.39% 3,029
IWZ iShares Russell 3000 Growth 29 Broad Market Funds 2.89% 5.62% 12.13% -1.19% 46.54% 3,035
EEH Elements Specturm LargeCap US Sector Momentum ETN 29 Large Cap Blend 4.46% 4.95% 10.56% 0.00% 62.11% 3,038
TUR iShares MSCI Turkey Investable Market 29 MENA - Turkey 12.44% 5.41% 14.29% -3.94% 133.98% 3,044
VUG Vanguard Growth 30 Large Cap Growth 3.04% 5.65% 12.43% -1.35% 46.73% 3,082
XPH SPDR S&P Pharmaceuticals 30 Sector - Pharmaceutical 1.43% 7.38% 16.45% -1.45% 63.29% 3,082
FVD First Trust Value Line Dividend 30 High Yielding Equity 2.50% 5.83% 12.02% -0.91% 42.30% 3,093
VNQ Vanguard REIT 30 Sector - Real Estate Domestic 1.20% 11.50% 23.53% -4.97% 85.39% 3,115
IYR iShares Dow Jones US Real Estate 30 Sector - Real Estate Domestic 1.19% 11.09% 22.35% -4.52% 82.54% 3,122
IBB iShares Nasdaq Biotechnology 30 Sector - Biotechnology 1.36% 9.58% 14.56% -1.18% 46.22% 3,123
IYY iShares Dow Jones US 31 Broad Market Funds 3.08% 6.08% 11.52% -1.48% 48.46% 3,152
XLK Technology Select Sector SPDR 31 Sector - Technology 3.96% 5.06% 13.12% -1.33% 46.66% 3,159
IDX Market Vectors Indonesia 31 Pacific Rim - Indonesia 5.12% 7.04% 15.87% -3.42% 130.53% 3,164
DIA Dow Diamonds 31 Large Cap Blend 3.19% 4.49% 11.57% -1.16% 44.06% 3,181
KLD iShares KLD Select Social 31 Sector - Socially Responsible 3.14% 5.40% 11.46% -1.24% 46.90% 3,194
EWY iShares MSCI South Korea 31 Pacific Rim - South Korea 6.34% 4.57% 12.39% -1.94% 69.54% 3,208
IWW iShares Russell 3000 Value 31 Broad Market Funds 3.61% 6.99% 11.23% -1.99% 50.44% 3,214
IVE iShares S&P 500 Value 31 Large Cap Value 3.26% 6.52% 11.22% -1.85% 48.84% 3,226
PTF PowerShares Dynamic Technology 31 Sector - Technology 4.77% 6.39% 11.24% -1.03% 47.74% 3,239
Copyright 2010 All Rights Reserved Page 8 of 28
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630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
FRN Claymore/BNY Mellon Frontier Markets 31 Emerging Markets - Frontier 6.35% 3.45% 8.03% -0.64% 71.00% 3,247
DRR Market Vectors Double Short Euro ETN 32 Inverse Funds 3.76% 12.03% 20.23% -11.73% 24.39% 3,254
RWR SPDR Dow Jones REIT 32 Sector - Real Estate Domestic 1.03% 11.42% 22.50% -5.05% 85.65% 3,266
IYF iShares Dow Jones US Financial Sector 32 Sector - Financial Services 4.28% 9.96% 9.92% -3.81% 64.15% 3,289
IWF iShares Russell 1000 Growth 32 Large Cap Growth 2.81% 5.24% 11.60% -1.25% 45.85% 3,290
EUO ProShares UltraShort Euro 32 Currency - Euro 3.75% 12.11% 19.06% -12.16% 23.97% 3,296
RXI iShares S&P Global Consumer Discretionary Sector 32 Sector - Consumer Cyclical 3.25% 6.13% 12.90% -1.74% 49.16% 3,304
REZ iShares FTSE NAREIT Residential Plus Capped 32 Sector - Real Estate Specific 0.86% 10.65% 21.19% -4.37% 79.64% 3,310
RTL iShares FTSE NAREIT Retail Capped 32 Sector - Real Estate Specific -0.47% 14.82% 24.16% -5.90% 86.19% 3,316
FRI First Trust S&P REIT 32 Sector - Real Estate Domestic 0.93% 11.09% 23.07% -4.96% 82.35% 3,318
IWB iShares Russell 1000 32 Large Cap Blend 3.09% 5.93% 11.30% -1.58% 47.52% 3,323
IFNA iShares FTSE EPRA/NAREIT North America 33 Sector - Real Estate Specific 1.39% 10.87% 20.32% -4.58% 80.33% 3,370
CUT Claymore/Clear Global Timber 33 Sector - Natural Resources 5.27% 6.30% 10.55% -1.90% 88.09% 3,378
ISI iShares S&P 1500 33 Broad Market Funds 3.05% 6.01% 11.43% -1.51% 47.28% 3,389
IYG iShares Dow Jones US Financial Services 33 Sector - Financial Services 5.30% 9.83% 8.00% -4.09% 64.16% 3,397
JJU iPath DJ-AIG Alumnm TotRet ETN 33 Commodities - Industrial Metals (Specific) 6.36% 3.07% 23.53% -1.87% 65.52% 3,452
ICF iShares Cohen & Steers Realty Majors 33 Sector - Real Estate Domestic 0.68% 11.18% 22.47% -5.29% 86.83% 3,460
IIH HOLDERS Internet Infrastructure 34 HOLDERS -0.65% 13.38% 27.08% -2.56% 60.53% 3,462
ELR SPDR Dow Jones Large Cap 34 Large Cap Blend 3.13% 5.61% 10.88% -1.54% 45.92% 3,501
DEF Claymore/Sabrient Defensive Equity 34 Large Cap Value 2.02% 5.46% 11.30% -0.67% 39.53% 3,507
FTY iShares FTSE NAREIT Real Estate 50 34 Sector - Real Estate Domestic 0.51% 10.23% 21.57% -4.58% 79.32% 3,518
EXT WisdomTree Total Earnings 34 Broad Market Funds 2.57% 5.21% 10.12% -1.19% 48.21% 3,530
VV Vanguard Large-Cap 34 Large Cap Blend 3.00% 5.73% 11.10% -1.57% 47.21% 3,543
OTP Claymore/Ocean Tomo Patent 34 Large Cap Blend 3.56% 4.00% 11.51% -1.29% 46.26% 3,553
BSC Elements Benjmn Graham SmallCap Value ETN 35 Small Cap Blend 1.09% 9.45% 14.89% -1.63% 75.25% 3,651
PMA PowerShares Active Mega-Cap 35 Actively Managed 4.20% 3.80% 11.86% -1.59% 42.74% 3,653
RWV RevenueShares Navell A-100 35 Speciality/Strategy 4.69% 6.50% 11.54% -1.35% 35.07% 3,659
MGK Vanguard Mega Cap 300 Growth 35 Large Cap Growth 2.77% 4.79% 11.84% -1.24% 44.81% 3,665
Copyright 2010 All Rights Reserved Page 9 of 28
AdvisorGuide, LLC. Member: FPA
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630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
JJC iPath DJ-AIG Copper TotRet ETN 36 Commodities - Industrial Metals (Specific) 4.29% 3.68% 22.23% -3.21% 78.20% 3,692
ELV SPDR Dow Jones Large Cap Value 36 Large Cap Value 3.11% 5.95% 10.16% -1.63% 44.15% 3,713
IVV iShares S&P 500 36 Large Cap Blend 2.98% 5.53% 10.70% -1.55% 46.00% 3,726
IWD iShares Russell 1000 Value 36 Large Cap Value 3.29% 6.56% 10.64% -2.10% 49.68% 3,770
PTE PowerShares Dynamic Telecommunications and Wireless 37 Sector - Telecom 2.22% 6.50% 17.75% -1.34% 43.11% 3,788
XLF Financial Select Sector SPDR 37 Sector - Financial Services 4.25% 9.76% 8.14% -4.05% 68.14% 3,798
SEA Claymore Delta Global Shipping 37 Sector - Transportation 6.20% 4.24% 16.64% -2.23% 64.58% 3,810
SPY SPDR S&P 500 37 Large Cap Blend 2.96% 5.47% 10.66% -1.59% 45.93% 3,846
PFI PowerShares Dynamic Financial 38 Sector - Financial Services 4.69% 9.97% 7.55% -2.09% 35.38% 3,881
VIG Vanguard Dividend Appreciation 38 High Yielding Equity 2.84% 4.89% 9.19% -0.84% 39.12% 3,894
CVY Claymore/Zacks Multi-Asset Income 39 High Yielding Equity 1.24% 4.83% 12.10% -1.40% 68.89% 4,002
RTM Rydex S&P Equal Weight Materials 39 Sector - Basic Materials 2.90% 6.14% 13.18% -1.66% 74.69% 4,018
QCLN First Trust NASDAQ Clean Edge US 39 Sector - Energy (Alternate) 8.52% 6.77% 9.09% -2.36% 47.20% 4,051
BDD PowerShares DB Base Mtls Double Long ETN 39 Commodities - Industrial Metals (Broad) 9.75% 1.09% 41.70% -9.43% 188.73% 4,064
FXH First Trust Health Care AlphaDEX 40 Sector - Healthcare 0.94% 5.35% 18.44% -2.23% 66.71% 4,129
IYK iShares Dow Jones US Consumer Goods Sector 40 Sector - Consumer Staples 1.24% 5.50% 11.09% -0.80% 41.76% 4,133
ROB Claymore/Robb Report Global Luxury 40 Speciality/Strategy 5.02% 4.73% 10.62% -2.78% 75.80% 4,144
EWS iShares MSCI Singapore 40 Pacific Rim - Singapore 4.50% 4.05% 12.32% -2.11% 80.96% 4,169
EWD iShares MSCI Sweden 41 Europe - Sweden 2.03% 7.74% 11.16% -1.30% 81.19% 4,223
PTM E-Tracs CMCI Long Platinum ETN 41 Commodities - Platinum 3.48% 4.55% 23.70% -2.42% 55.03% 4,234
PKB PowerShares Dynamic Building and Construction 41 Sector - Home Construction 5.00% 8.62% 8.86% -1.64% 34.45% 4,238
PXI PowerShares Dynamic Energy 41 Sector - Energy 2.66% 6.95% 11.14% -1.66% 61.41% 4,277
VTV Vanguard Value 42 Large Cap Value 3.02% 5.82% 9.76% -1.89% 47.65% 4,294
DGS WisdomTree Emerging Markets SmallCap Dividend 42 Emerging Markets - Broad 4.57% 3.24% 10.77% -2.02% 73.88% 4,297
IYZ iShares Dow Jones US Telecommunications Sector 42 Sector - Telecom 4.00% 5.87% 12.96% -1.30% 31.30% 4,388
GULF WisdomTree Middle East Dividend 43 MENA - Broad 7.58% 13.56% 0.40% -2.69% 27.54% 4,465
UYM ProShares Ultra Basic Materials 43 Sector - Basic Materials 3.15% 6.75% 23.37% -4.71% 175.91% 4,478
PGF PowerShares Financial Preferred 44 Sector - Financial Services -0.53% 3.22% 13.41% -0.80% 77.62% 4,544
Copyright 2010 All Rights Reserved Page 10 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
XBI SPDR S&P Biotech 44 Sector - Biotechnology -0.94% 10.44% 17.48% -1.84% 39.00% 4,557
MGC Vanguard Mega Cap 300 44 Large Cap Blend 2.78% 4.83% 10.06% -1.51% 44.31% 4,579
VYM Vanguard High Dividend Yield 44 High Yielding Equity 2.87% 4.87% 8.61% -1.08% 44.02% 4,593
RSX Market Vectors Russia 45 Emerging Markets - Europe 5.01% 4.20% 14.41% -4.29% 113.90% 4,604
PSP PowerShares Listed Private Equity 45 Speciality/Strategy 3.42% 7.30% 8.61% -2.19% 81.16% 4,653
PFM PowerShares Dividend Achievers 45 High Yielding Equity 2.54% 4.15% 8.95% -0.75% 37.03% 4,654
MMF Money Market Fund 45 Money Market 0.00% 0.00% 0.03% 0.00% 0.00% 4,675
PXE PowerShares Dynamic Energy and Exploration 46 Sector - Energy Exploration 5.13% 7.96% 5.90% -1.65% 50.78% 4,731
DTD WisdomTree Total Dividend 46 Broad Market Funds 2.41% 5.03% 9.25% -1.24% 46.25% 4,797
ITB iShares Dow Jones US Home Construction 47 Sector - Home Construction 1.60% 9.21% 11.51% -2.10% 55.92% 4,821
RJZ Elements RICI Metals Total Return ETN 47 Commodities - Industrial Metals (Broad) 4.51% 2.26% 17.08% -2.62% 62.31% 4,859
SLX Market Vectors Steel 47 Sector - Basic Materials 2.77% 5.18% 21.00% -4.76% 116.50% 4,866
PWC PowerShares Dynamic Market 47 Large Cap Blend 3.17% 5.44% 10.20% -1.29% 34.08% 4,885
OEF iShares S&P 100 48 Large Cap Blend 3.02% 4.55% 9.49% -1.60% 43.14% 4,909
FXM CurrencyShares Mexican Peso 48 Currency - Mexican Peso 2.41% 4.22% 8.26% -0.80% 17.23% 4,939
DBB PowerShares DB Base Metals 48 Commodities - Industrial Metals (Broad) 4.87% 1.38% 20.87% -4.12% 74.87% 4,964
EPS WisdomTree Earnings 500 48 Large Cap Blend 2.33% 4.65% 8.98% -1.31% 45.10% 4,969
PFF iShares S&P US Preferred Stock 48 Preferred Stock -0.92% 3.13% 11.85% -1.43% 71.68% 5,003
MGV Vanguard Mega Cap 300 Value 49 Large Cap Value 2.99% 5.11% 8.58% -1.75% 44.40% 5,034
TZO S&P Target Date 2035 IxFd(iShr) 49 Target Date 2.81% 4.84% 8.31% -1.30% 42.14% 5,050
VDC Vanguard Consumer Staples 50 Sector - Consumer Staples 0.98% 4.91% 8.04% -0.64% 35.31% 5,143
PHO PowerShares Water Resources 50 Sector - Water Resources 4.07% 3.65% 9.02% -1.05% 41.36% 5,166
EWX SPDR S&P Emerging Markets Small Cap 50 Emerging Markets - Broad 4.23% 2.32% 10.52% -2.86% 86.40% 5,170
PQZ PowerShares Active Alpha Multi-Cap 50 Actively Managed 2.09% 6.97% 10.65% -1.80% 46.34% 5,192
IVW iShares S&P 500 Growth 50 Large Cap Growth 2.60% 4.49% 9.90% -1.37% 43.10% 5,193
XGC Claymore/Great Companies Large-Cap Growth 51 Large Cap Growth 3.64% 2.65% 12.80% -2.38% 63.52% 5,223
REM iShares FTSE NAREIT Mortgage Plus Capped 52 Sector - Real Estate Specific 1.58% 5.77% 9.25% -1.67% 38.82% 5,376
AOA S&P Aggressive Allocation(iShr) 52 Asset Allocation 2.64% 5.42% 9.38% -1.62% 44.29% 5,381
Copyright 2010 All Rights Reserved Page 11 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
PWB PowerShares Dynamic Large Cap Growth 52 Large Cap Growth 3.04% 3.47% 10.63% -1.44% 42.26% 5,382
UBC E-Tracs CMCI Live Stock TR ETN 52 Commodities - Livestock 3.11% 3.32% 9.39% -2.10% 18.88% 5,399
USL United States 12 Month Oil 53 Commodities - Oil 5.26% 6.58% 4.30% -1.96% 44.93% 5,428
EMB iShares JPMorgan USD Emerging Markets Bond 53 Bond - Emerging Markets 1.57% 4.47% 4.32% 0.00% 25.98% 5,443
IGV iShares S&P North American Technology - Software 53 Sector - Software 2.01% 5.46% 10.06% -1.01% 45.76% 5,446
COW iPath DJ-AIG Livestck TotRet ETN 53 Commodities - Livestock 3.12% 6.45% 10.19% -4.00% 16.77% 5,494
XLP Consumer Staples Select Sector SPDR 54 Sector - Consumer Staples 0.75% 4.70% 7.30% -0.78% 33.54% 5,583
GAF SPDR S&P Emerging Middle East & Africa 54 MENA - Broad 1.78% 6.42% 9.90% -2.91% 65.00% 5,584
DYY PowerShares DB Commodity Double Long ETN 54 Commodities - Blend 7.19% 5.20% 8.70% -6.39% 62.52% 5,620
JKE iShares Morningstar Large Growth 54 Large Cap Growth 2.43% 3.66% 11.41% -1.78% 46.12% 5,621
PJP PowerShares Dynamic Pharmaceuticals 54 Sector - Pharmaceutical 0.50% 4.82% 12.72% -1.77% 48.85% 5,624
JNK SPDR Barclays Capital High Yield Bond 55 Bond - High Yiled 1.66% 2.56% 9.88% -0.82% 43.75% 5,636
ROI WisdomTree LargeCap Growth 55 Large Cap Growth 3.16% 3.83% 7.45% -1.01% 32.81% 5,667
ICN WisdomTree Dreyfus Indian Rupee 55 Currency - Indian Rupee 2.48% 3.37% 4.68% -0.60% 17.02% 5,733
DBO PowerShares DB Oil 56 Commodities - Oil 4.27% 6.27% 4.95% -2.24% 52.89% 5,751
BJK Market Vectors Gaming 56 Sector - Consumer Cyclical 6.14% 4.55% 2.84% -3.47% 54.92% 5,787
OLO PowerShares DB Crude Oil Long ETN 56 Commodities - Oil 4.27% 6.07% 4.20% -2.08% 51.99% 5,834
PAO PowerShares Autonomic Balanced Growth NFA Global Asset 57 Speciality/Strategy 3.45% 2.83% 7.80% -1.07% 39.79% 5,856
TDV TDAX Independence 2040 57 Target Date 3.05% 4.28% 9.06% -1.53% 43.34% 5,863
DLN WisdomTree LargeCap Dividend 57 High Yielding Equity 2.39% 4.08% 8.00% -1.14% 42.52% 5,883
PCY PowerShares Emerging Markets Sovereign Debt 57 Bond - Emerging Markets 1.51% 5.56% 3.40% -0.08% 26.72% 5,898
PIE PowerShares DWA Emerging Market Technical Leaders 58 Emerging Markets - Broad 4.21% 3.25% 8.18% -3.41% 64.63% 5,995
PTJ PowerShares Dynamic Healthcare Services 58 Sector - Healthcare 2.17% 2.17% 18.61% -2.13% 45.03% 5,998
PGX PowerShares Preferred 58 Preferred Stock -0.87% 2.82% 7.77% -1.21% 48.71% 6,000
IYM iShares Dow Jones US Basic Materials Sector 59 Sector - Basic Materials 1.66% 4.48% 13.10% -2.41% 75.34% 6,124
IPK SPDR S&P International Technology Sector 60 Sector - Technology 3.22% 4.01% 10.80% -3.27% 49.06% 6,165
XLG Rydex Russell Top 50 60 Large Cap Blend 2.68% 3.66% 8.11% -1.58% 39.55% 6,175
NY iShares NYSE 100 60 Large Cap Blend 2.75% 4.18% 8.02% -1.63% 38.42% 6,178
Copyright 2010 All Rights Reserved Page 12 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
UBM E-Tracs CMCI Industrial Metals TF ETN 60 Commodities - Industrial Metals (Broad) 2.43% 1.86% 19.09% -5.75% 69.71% 6,195
ADZ PowerShares DB Agriculture Short ETN 60 Inverse Funds 0.48% 10.96% 12.39% -3.43% 17.14% 6,209
DLS WisdomTree International SmallCap Dividend 60 Developed Markets 3.79% 3.16% 6.04% -1.82% 59.80% 6,222
GUR SPDR S&P Emerging Europe 60 Emerging Markets - Europe 5.08% 2.69% 7.71% -3.31% 85.88% 6,227
PMNA PowerShares MENA Frontier Countries 60 MENA - Broad 5.19% 7.45% -8.01% -8.14% 32.98% 6,231
AGA PowerShares DB Agriculture Double Short ETN 61 Inverse Funds -2.86% 28.68% 16.99% -14.28% 34.16% 6,274
PZD PowerShares Cleantech 62 Sector - Environmental 4.91% 1.69% 5.59% -1.91% 47.54% 6,361
VAW Vanguard Materials 62 Sector - Basic Materials 2.20% 3.72% 10.52% -1.71% 58.11% 6,387
PCA PowerShares Autonomic Balanced NFA Global Asset 62 Speciality/Strategy 2.37% 3.81% 6.93% -0.79% 33.19% 6,406
FDL First Trust Morningstar Dividend Leaders 62 High Yielding Equity 0.94% 2.35% 10.80% -1.09% 46.22% 6,409
PSTL PowerShares Global Steel 62 Sector - Basic Materials 2.90% 2.86% 11.64% -4.19% 78.11% 6,412
DEM WisdomTree Emerging Markets Income Equity 62 Emerging Markets - Broad 2.98% 3.42% 9.05% -2.62% 65.83% 6,426
EVX Market Vectors Environmental Services 62 Sector - Environmental 2.77% 3.38% 10.61% -1.71% 45.86% 6,446
TDN TDAX Independence 2030 63 Target Date 2.49% 3.13% 7.78% -1.25% 36.87% 6,460
KOL Market Vectors Coal 63 Sector - Natural Resources 2.82% -0.31% 19.90% -4.42% 145.16% 6,484
EEN Claymore BNY Mellon Equal Weight Euro-Pacific Leaders ETF 63 Developed Markets 4.50% 2.17% 2.70% -3.50% 60.35% 6,492
XME SPDR S&P Metals and Mining 63 Sector - Metals & Mining 0.35% 4.01% 19.08% -3.95% 105.94% 6,552
PTO PowerShares Autonomic Growth NFA Global Asset 64 Fund of Funds 2.55% 3.92% 8.78% -1.69% 47.59% 6,562
JKF iShares Morningstar Large Value 64 Large Cap Value 2.81% 4.11% 7.57% -1.92% 39.06% 6,617
SCZ iShares MSCI EAFE Small Cap 64 Developed Markets - EAFE 3.66% 2.39% 4.36% -1.76% 62.39% 6,621
TZV S&P Target Date 2040 IxFd(iShr) 64 Target Date 2.34% 4.48% 8.43% -1.78% 42.64% 6,635
DFE WisdomTree Europe SmallCap Dividend 64 Europe - Broad 4.59% 1.55% 1.06% -1.59% 66.92% 6,642
GWX SPDR S&P International Small Cap 65 Developed Markets 3.31% 2.96% 5.23% -1.82% 60.77% 6,663
RWO SPDR Dow Jones Global Real Estate 65 Sector - Real Estate Int'l 0.52% 6.12% 9.08% -3.50% 69.10% 6,667
PUW PowerShares Wilderhill Progressive Energy 65 Sector - Energy (Alternate) 3.69% 1.26% 7.16% -1.81% 62.21% 6,720
TZL S&P Target Date 2030 IxFd(iShr) 65 Target Date 2.36% 3.74% 8.27% -1.68% 36.61% 6,725
JFT First Trust 130/30 Large Cap ETN 66 Long/Short Strategy -0.97% 11.54% 12.33% -9.09% 60.07% 6,793
ENY Claymore/SWM Canadian Energy Income 66 Sector - Energy 2.54% 3.86% 9.23% -4.31% 82.02% 6,798
Copyright 2010 All Rights Reserved Page 13 of 28
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AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
EIS iShares MSCI Israel Capped Investable Market 66 MENA - Israel -1.11% 2.14% 14.67% -3.72% 70.62% 6,807
DNH WisdomTree Pacific ex-Japan Income Equity 66 Pacific Rim - Broad 2.92% 3.58% 5.42% -2.50% 90.37% 6,844
MES Market Vectors Gulf States 66 MENA - Broad 3.50% 12.51% -8.91% -9.63% 31.43% 6,866
NYC iShares NYSE Composite 67 Broad Market Funds 2.43% 3.71% 7.53% -1.71% 48.58% 6,886
TZI S&P Target Date 2025 IxFd(iShr) 67 Target Date 2.18% 3.80% 7.57% -1.60% 36.03% 6,906
PGM iPath DJ-AIG Platnm TotRet ETN 67 Commodities - Platinum 3.27% 1.33% 15.67% -12.05% 52.45% 6,914
CIU iShares Barclays Intermediate Credit Bond 67 Bond - Intermediate 0.41% 1.65% 4.49% 0.00% 15.22% 6,930
AIA iShares S&P Asia 50 67 Pacific Rim - Broad 3.92% 2.33% 7.27% -2.52% 54.14% 6,944
GCE Claymore/CEF GS Connect ETN 67 Moderate Allocation 1.16% 3.93% 8.37% -1.99% 63.93% 6,946
EZA iShares MSCI South Africa 68 MENA - South Africa 1.34% 6.32% 6.90% -4.32% 68.24% 6,993
DHS WisdomTree Income Equity 68 High Yielding Equity 1.74% 3.26% 5.50% -1.03% 49.41% 6,995
CWB SPDR Barclays Capital Convertible Bond 68 Bond - Convertible 0.81% 3.52% 9.85% -1.37% 38.09% 7,015
SCJ iShares MSCI Japan Small Cap 68 Pacific Rim - Japan 3.14% 4.00% 5.90% -1.59% 30.77% 7,031
MDD SPDR S&P International Mid Cap 68 Foreign Small/Mid Value 3.28% 2.79% 6.42% -1.94% 51.41% 7,039
IFSM iShares FTSE Developed Small Cap ex-North America 68 Developed Markets 3.74% 2.03% 4.13% -2.19% 61.37% 7,042
FNI First Trust ISE Chindia 68 Pacific Rim - Broad 1.67% 2.98% 10.24% -2.68% 81.73% 7,050
RYH Rydex S&P Equal Weight Healthcare 68 Sector - Healthcare -0.38% 2.19% 14.60% -2.27% 48.55% 7,060
EEZ WisdomTree Earnings Top 100 69 Large Cap Blend 0.85% 2.57% 6.57% -0.69% 54.64% 7,085
IPN SPDR S&P International Industrial Sector 69 Sector - Industrial 3.06% 1.79% 6.46% -2.45% 56.18% 7,109
GMF SPDR S&P Emerging Asia Pacific 69 Pacific Rim - Broad 3.76% 1.35% 6.84% -2.87% 58.08% 7,131
GML SPDR S&P Emerging Latin America 69 Latin America - Broad 2.33% 2.73% 6.65% -1.90% 87.22% 7,151
CFT iShares Barclays Credit Bond 70 Bond - Broad 0.60% 1.97% 4.44% 0.00% 17.67% 7,182
GRI Cohen & Steers Global Realty Majors 70 Sector - Real Estate Int'l 0.91% 4.36% 9.17% -2.86% 62.87% 7,184
DND WisdomTree Pacific ex-Japan Dividend 70 Pacific Rim - Broad 2.68% 2.90% 5.39% -2.44% 68.15% 7,199
IHE iShares Dow Jones US Pharmaceuticals 70 Sector - Pharmaceutical 0.57% 1.51% 11.47% -1.56% 49.55% 7,201
KXI iShares S&P Global Consumer Staples Sector 70 Sector - Consumer Staples 0.56% 2.97% 8.00% -1.18% 43.50% 7,215
AAXJ iShares MSCI All Country Asia ex Japan 70 Pacific Rim ex-Japan 3.15% 1.28% 7.93% -2.98% 61.91% 7,217
EWU iShares MSCI United Kingdom 70 Europe - United Kingdom 3.72% 0.36% 5.24% -1.76% 59.07% 7,229
Copyright 2010 All Rights Reserved Page 14 of 28
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AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
EWA iShares MSCI Australia 70 Pacific Rim - ANZAC 2.47% 3.55% 4.71% -2.55% 83.92% 7,249
PAF PowerShares FTSE RAFI Asia Pacific ex-Japan 70 Pacific Rim - Broad 2.83% 2.38% 5.29% -2.38% 77.71% 7,256
JSC SPDR Russell/Nomura Small Cap Japan 71 Pacific Rim - Japan 2.74% 4.55% 5.76% -1.73% 31.14% 7,291
TZE S&P Target Date 2015 IxFd(iShr) 71 Target Date 1.77% 3.14% 6.12% -0.81% 27.79% 7,294
FFR First Trust EPRA/NAREIT Global Real Estate 71 Sector - Real Estate Specific 0.50% 4.84% 7.45% -3.23% 74.78% 7,297
TZG S&P Target Date 2020 IxFd(iShr) 71 Target Date 1.70% 2.84% 6.88% -1.33% 30.77% 7,300
PIZ PowerShares DWA Developed Market Technical Leaders 71 Developed Markets 3.70% 1.82% 4.13% -2.87% 65.12% 7,316
AOR S&P Growth Allocation(iShr) 71 Asset Allocation 2.02% 2.81% 5.86% -1.05% 30.54% 7,331
BAL iPath DJ-AIG Cotton TotRet ETN 71 Commodities - Agriculture (Specific) -2.03% 9.72% 8.64% -3.59% 40.79% 7,343
TDD TDAX Independence 2010 71 Target Date 2.08% 1.81% 3.72% 0.00% 11.80% 7,372
MKH HOLDERS Market 2000+ 71 HOLDERS 2.92% -0.46% 6.31% -0.93% 31.78% 7,376
EPP iShares MSCI Pacific ex-Japan 71 Pacific Rim - Broad 2.26% 3.18% 5.43% -2.88% 75.31% 7,383
GMM SPDR S&P Emerging Markets 72 Emerging Markets - Broad 2.91% 1.68% 5.94% -2.75% 66.37% 7,390
INP iPath MSCI India IndexSM ETN 72 Pacific Rim - India 2.29% 2.45% 7.09% -3.87% 94.99% 7,425
IHF iShares Dow Jones US Healthcare Providers 72 Sector - Healthcare -0.45% -0.45% 19.50% -4.17% 54.39% 7,430
ICI iPath Optimized Currency Carry ETN 72 Currency - Broad 0.99% 1.97% 3.39% -0.30% 8.30% 7,439
HYG iShares iBoxx $ High Yield Corporate Bond 72 Bond - High Yiled 0.81% 1.56% 7.53% -0.81% 34.21% 7,468
RXL ProShares Ultra Health Care 72 Sector - Healthcare -1.30% -1.11% 19.72% -4.97% 85.29% 7,473
PHB PowerShares High Yield Corporate Bond 73 Bond - High Yiled 0.93% 1.57% 7.14% -0.55% 27.54% 7,490
HAO Claymore/Alphashares China Small Cap 73 Pacific Rim - China 1.85% -0.79% 12.75% -4.24% 77.02% 7,496
SWH HOLDERS Software 73 HOLDERS 2.18% 1.44% 7.06% -1.21% 41.44% 7,514
VWO Vanguard Emerging Markets 73 Emerging Markets - Broad 2.41% 2.04% 6.26% -3.23% 67.72% 7,546
TOK iShares MSCI Kokusai 73 Developed Markets 2.62% 2.29% 5.94% -2.09% 49.09% 7,551
EWC iShares MSCI Canada 73 Developed Markets - Canada 0.07% 5.05% 6.91% -2.47% 60.95% 7,556
TDH TDAX Independence 2020 73 Target Date 2.20% 2.44% 5.43% -1.00% 27.49% 7,562
RHM Rydex 2X S&P Select Sectors Health Care 74 Sector - Healthcare -1.18% -2.06% 18.72% -6.35% 85.24% 7,602
EWT iShares MSCI Taiwan 74 Pacific Rim - Taiwan 4.72% -2.65% 5.36% -3.74% 50.35% 7,616
BDH HOLDERS Broadband 74 HOLDERS 7.45% -4.52% 6.03% -6.70% 23.46% 7,668
Copyright 2010 All Rights Reserved Page 15 of 28
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AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
TZD S&P Target Date 2010 IxFd(iShr) 74 Target Date 1.23% 2.31% 5.17% -0.93% 25.18% 7,669
ACWI iShares MSCI ACWI 74 Developed Markets 2.26% 2.35% 6.20% -2.10% 49.75% 7,671
HGI Claymore/Zacks International Multi-Asset Income 74 Developed Markets 1.66% 1.16% 4.52% -1.57% 65.22% 7,673
PFA PowerShares Dynamic Developed International Opportunities 74 Developed Markets 2.76% 0.78% 2.16% -1.58% 61.97% 7,679
FLM First Trust ISE Global Engineering & Construction 74 Sector - Infrastucture 3.75% 2.34% 1.42% -1.84% 44.00% 7,683
PID PowerShares International Dividend Achievers 74 Developed Markets 1.35% 0.93% 5.92% -1.35% 59.34% 7,686
TGR S&P Target Date Ret Inc Ix(iShr 75 Target Date 1.12% 2.16% 4.12% -0.38% 20.13% 7,711
LQD iShares iBoxx $ Investment Grade Corporate Bond 75 Bond - High Yiled 0.28% 2.04% 4.76% -0.08% 17.03% 7,728
EDC Daily Emerging Mkts Bull 3x(Dx) 75 Daily Funds 5.19% -2.06% 3.17% -10.49% 226.12% 7,730
EWO iShares MSCI Austria Investable Market 75 Europe - Austria 6.44% -2.07% -7.85% -9.00% 68.26% 7,734
XLB Materials Select Sector SPDR 75 Sector - Basic Materials 1.88% 1.79% 7.98% -1.89% 49.78% 7,742
DFJ WisdomTree Japan Small Cap Dividend 75 Pacific Rim - Japan 1.52% 4.06% 5.39% -1.73% 31.50% 7,761
PDN PowerShares FTSE RAFI Developed Markets ex-US Small-Mid 76 Developed Markets 2.29% 1.69% 3.22% -2.52% 72.20% 7,808
DEW WisdomTree Europe Income Equity 76 Europe - Broad 1.85% 1.39% 2.23% -1.41% 60.47% 7,818
CGW Claymore S&P Global Water 76 Sector - Water Resources 2.74% -0.05% 6.06% -1.68% 47.99% 7,835
IXG iShares S&P Global Financials Sector 76 Sector - Financial Services 2.76% 3.27% -0.13% -3.59% 63.21% 7,838
USO United States Oil 76 Commodities - Oil 2.04% 5.73% 0.37% -3.49% 49.16% 7,841
OIL iPath S&P GSCI Crude Oil TR ETN 76 Commodities - Oil 1.94% 5.64% 0.19% -3.84% 52.07% 7,857
DBE PowerShares DB Energy 76 Commodities - Energy (Broad) 4.04% 3.27% 0.61% -2.18% 41.49% 7,862
FXN First Trust Energy AlphaDEX 76 Sector - Energy 1.69% 2.73% 4.47% -2.17% 66.91% 7,868
PKOL PowerShares Global Coal 76 Sector - Natural Resources 1.27% -3.75% 13.47% -8.33% 106.22% 7,878
DNL WisdomTree Japan Equity Income 76 Pacific Rim - Japan 1.87% 3.13% 7.89% -2.21% 43.79% 7,899
REA Rydex 2X S&P Select Sectors Energy 77 Sector - Energy 4.72% -0.25% 0.29% -3.55% 79.32% 7,912
ERX Daily Energy Bull 3x(Dx) 77 Daily Funds 7.06% -0.96% -4.52% -7.50% 109.59% 7,917
IRV SPDR S&P International Materials Sector 77 Sector - Basic Materials 2.54% -0.65% 7.05% -3.43% 66.42% 7,932
AOK S&P Conservative Allocatin(iShr 77 Asset Allocation 0.73% 1.78% 3.78% -0.43% 14.50% 7,933
AOM S&P Moderate Allocation(iShr) 77 Asset Allocation 1.14% 1.81% 4.32% -0.72% 21.46% 7,939
EPI WisdomTree India Earnings 77 Pacific Rim - India 1.75% 1.22% 5.76% -4.32% 88.94% 7,959
Copyright 2010 All Rights Reserved Page 16 of 28
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AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
DGP PowerShares DB Gold Double Long ETN 77 Commodities - Gold 1.26% 0.18% 12.89% -13.97% 61.33% 7,963
FGD First Trust Dow Jones Global Select Dividend 77 Developed Markets 2.57% -0.04% 0.79% -1.72% 70.14% 7,992
DBN WisdomTree International Basic Materials Sector 78 Sector - Basic Materials 2.06% 0.15% 6.42% -2.93% 67.77% 8,008
BIK SPDR S&P BRIC 40 78 Emerging Markets - BRIC 2.35% 2.39% 2.26% -3.42% 60.46% 8,035
EEM iShares MSCI Emerging Markets 78 Emerging Markets - Broad 2.07% 1.22% 5.06% -3.46% 61.38% 8,043
VPL Vanguard Pacific 78 Pacific Rim - Broad 1.70% 1.56% 7.54% -1.95% 42.78% 8,090
UUP PowerShares DB US Dollar Bullish 78 Currency - US Dollar 1.15% 3.86% 5.25% -8.93% 7.35% 8,091
EWH iShares MSCI Hong Kong 78 Pacific Rim - Honk Kong 0.80% 3.95% 5.23% -3.32% 49.82% 8,104
DIG ProShares Ultra Oil & Gas 79 Sector - Energy 4.82% -0.39% -2.81% -4.77% 65.60% 8,122
VOX Vanguard Telecommunications Services 79 Sector - Telecom 2.40% 2.77% 6.81% -2.46% 28.96% 8,123
PGJ PowerShares Golden Dragon Halter USX China 79 Pacific Rim - China 2.50% 0.04% 6.16% -3.58% 51.97% 8,126
DZK Daily Developd Mkts Bull 3x(Dx) 79 Daily Funds 4.21% -3.92% -0.36% -7.88% 179.53% 8,135
DIM WisdomTree International MidCap Dividend 79 Developed Markets 2.82% 0.93% 1.47% -2.28% 53.90% 8,136
RJN Elements RICI Energy ETN 80 Commodities - Energy (Broad) 2.86% 3.85% -0.15% -2.41% 40.04% 8,229
MXI iShares S&P Global Materials Sector 80 Sector - Basic Materials 1.23% -0.08% 7.36% -3.25% 65.27% 8,236
BIV Vanguard Intermediate-Term Bond 80 Bond - Intermediate 0.10% 1.60% 3.26% -0.04% 11.90% 8,244
ILF iShares S&P Latin America 40 80 Latin America - Broad 0.33% 1.90% 4.31% -2.89% 76.18% 8,246
IDV iShares Dow Jones EPAC Select Dividend 80 Developed Markets 2.18% 0.37% -0.06% -2.37% 70.48% 8,287
ITF iShares S&P/TOPIX 150 80 Pacific Rim - Japan 1.28% 0.17% 9.50% -1.74% 27.85% 8,313
GEX Market Vectors Global Alternative Energy 80 Sector - Energy (Alternate) 7.29% -3.90% -3.08% -9.79% 25.47% 8,314
GSC Commdity S&P Enhanced Total Return ETN 80 Commodities - Blend 3.43% 2.62% 0.79% -2.73% 32.26% 8,315
PSAU PowerShares Global Gold And Precious Metals 81 Sector - Precious Metals 2.69% -0.78% 3.94% -8.46% 63.54% 8,316
UCI E-Tracs CMCI Total Return Index ETN 81 Commodities - Blend 3.77% 0.00% 5.82% -7.17% 34.92% 8,329
ADRA BLDRs Asia 50 ADR 81 Pacific Rim - Broad 1.72% 0.17% 8.52% -2.18% 41.26% 8,352
EWL iShares MSCI Switzerland 81 Europe - Switzerland 0.09% 1.58% 4.94% -1.82% 53.99% 8,359
WPS iShares S&P Developed ex-US Property 81 Sector - Real Estate Int'l 1.46% 1.78% 0.67% -1.96% 57.26% 8,379
PQBW PowerShares NASDAQ-100 BuyWrite 81 Speciality/Strategy -0.09% 0.63% 6.83% -0.76% 32.91% 8,380
EEB Claymore/BNY BRIC 81 Emerging Markets - BRIC 0.70% 1.37% 3.48% -3.07% 69.17% 8,401
Copyright 2010 All Rights Reserved Page 17 of 28
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AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
KCE SPDR KBW Capital Markets 81 Sector - Financial Services 2.50% 3.88% -3.47% -4.82% 44.32% 8,418
IEO iShares Dow Jones US Oil & Gas Exploration & Production 82 Sector - Energy Exploration 1.41% 1.76% 2.25% -2.01% 53.78% 8,420
JPP SPDR Russell/Nomura PRIME Japan 82 Pacific Rim - Japan 1.53% 0.99% 8.50% -2.19% 27.09% 8,423
VHT Vanguard Health Care 82 Sector - Healthcare -0.44% 0.27% 10.61% -2.33% 39.51% 8,445
UGA United States Gasoline 82 Commodities - Energy (Specific) -0.24% 3.44% 2.76% -3.44% 60.31% 8,447
IOO iShares S&P Global 100 82 Developed Markets 1.72% 0.08% 4.06% -1.72% 45.68% 8,465
BZF WisdomTree Dreyfus Brazilian Real 82 Currency - Brazilian Real 0.75% 2.25% 0.21% -0.70% 36.65% 8,471
IFAS iShares FTSE EPRA/NAREIT Asia 82 Sector - Real Estate Int'l 1.07% 2.90% 1.17% -2.75% 56.09% 8,476
GWO Elements Global Warming ETN 82 Sector - Environmental 4.59% -5.45% 1.25% -13.01% 49.39% 8,496
ECH iShares MSCI Chile Investable Market 82 Latin America - Chile -0.77% -7.88% 13.04% -8.50% 58.89% 8,500
ACWX iShares MSCI ACWI ex US 82 Developed Markets 1.66% 0.45% 3.50% -2.36% 53.15% 8,501
LVL Claymore/BBD S&P Global Dividend Opportunities 82 Mid Cap Value 1.19% -1.33% 4.32% -2.68% 73.86% 8,518
FXA CurrencyShares Australian Dollar 83 Currency - Australian Dollar 1.05% 1.01% 2.32% -0.98% 36.26% 8,527
BKF iShares MSCI BRIC 83 Emerging Markets - BRIC 0.91% 0.76% 3.26% -3.80% 69.49% 8,532
PXN PowerShares Lux Nanotech 83 Sector - Technology 3.42% 0.57% -1.67% -4.68% 46.74% 8,546
VEU Vanguard FTSE All-World ex-US 83 Developed Markets 1.69% 0.45% 2.96% -2.51% 53.76% 8,547
EWJ iShares MSCI Japan 83 Pacific Rim - Japan 1.45% 0.29% 8.10% -1.87% 27.74% 8,550
IPF SPDR S&P International Financial Sector 83 Sector - Financial Services 2.47% 0.28% -2.61% -4.40% 61.36% 8,565
USY WisdomTree US Current Income 83 Bond - UltraShort 0.04% -0.01% -0.15% -0.32% 0.40% 8,581
PIN PowerShares India 83 Pacific Rim - India 1.71% -1.18% 2.76% -4.08% 70.67% 8,593
RYU Rydex S&P Equal Weight Utilities 83 Sector - Utilities 2.01% 0.43% 6.61% -2.18% 30.11% 8,595
GWL SPDR S&P World ex-US 83 Developed Markets 2.28% -0.28% 2.72% -2.49% 48.88% 8,602
CWI SPDR MSCI ACWI ex-US 83 Developed Markets 1.61% 0.28% 2.83% -2.43% 53.80% 8,607
BND Vanguard Total Bond Market 83 Bond - Broad 0.07% 1.07% 2.34% 0.00% 7.73% 8,608
FXI iShares FTSE/Xinhua China 25 83 Pacific Rim - China 3.30% 2.07% -1.47% -8.22% 40.52% 8,613
DGT SPDR DJ Global Titans 83 Developed Markets 1.51% 0.15% 4.95% -1.84% 41.67% 8,623
PBP PowerShares S&P 500 BuyWrite 83 Large Cap Blend -0.68% 0.71% 7.36% -1.28% 28.27% 8,624
XOP SPDR S&P Oil & Gas Exploration & Production 84 Sector - Energy Exploration 0.50% 1.72% 2.50% -2.19% 54.02% 8,640
Copyright 2010 All Rights Reserved Page 18 of 28
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630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
ADRE BLDRs Emerging Markets 50 ADR 84 Emerging Markets - Broad 1.25% 1.05% 2.56% -2.97% 56.00% 8,642
IPW SPDR S&P International Energy Sector 84 Sector - Energy 3.48% -0.96% -0.22% -4.18% 48.75% 8,644
DRW WisdomTree International Real Estate 84 Sector - Real Estate Int'l 1.39% 1.50% -0.45% -3.41% 60.77% 8,652
FXU First Trust Utilities AlphaDEX 84 Sector - Utilities 0.91% 0.52% 6.50% -1.65% 36.84% 8,653
DOO WisdomTree International Dividend Top 100 84 Developed Markets 2.28% -0.14% 1.04% -2.41% 52.90% 8,657
PJO PowerShares FTSE RAFI Japan 84 Pacific Rim - Japan 1.69% -0.91% 8.48% -1.95% 26.43% 8,661
THD iShares MSCI Thailand Investable Market 84 Pacific Rim - Thailand -3.52% 0.66% 6.75% -11.35% 89.20% 8,665
IPD SPDR S&P International Consumer Discretionary Sector 84 Sector - Consumer Cyclical 2.04% 0.28% 2.78% -2.59% 47.67% 8,674
BLV Vanguard Long-Term Bond 84 Bond - Long Term 0.24% 1.90% 2.04% -0.87% 14.66% 8,683
INY SPDR Barclays Capital New York Municipal Bond 84 Bond - Municipals -0.51% 1.31% 2.84% -0.62% 11.34% 8,689
EXB Claymore/Clear Global Exchanges; Brokers and Asset 84 Sector - Financial Services 2.93% 1.63% -0.79% -6.16% 39.71% 8,690
RTR RevenueShares ADR 84 Developed Markets - EAFE 1.65% -0.08% 1.04% -1.89% 52.99% 8,709
JJP iPath DJ-AIG Precious Metals TotRet ETN 85 Commodities - Precious Metals 2.91% -0.86% 5.38% -7.19% 32.88% 8,737
YCS ProShares UltraShort Yen 85 Currency - Yen 3.85% 1.81% 0.44% -17.91% 11.49% 8,745
IPS SPDR S&P International Consumer Staples Sector 85 Sector - Consumer Staples -0.59% 0.35% 7.30% -2.94% 53.83% 8,750
PXH PowerShares FTSE RAFI Emerging Markets 85 Emerging Markets - Broad 1.25% -0.83% 3.68% -3.78% 60.19% 8,761
VDE Vanguard Energy 85 Sector - Energy 2.17% 0.31% 1.28% -1.60% 41.55% 8,763
MUB iShares S&P National Municipal Bond 85 Bond - Municipals 0.05% 1.12% 2.37% -0.39% 8.03% 8,790
IGE iShares S&P North American Natural Resources Sector 85 Sector - Natural Resources 1.92% 0.65% 1.23% -2.22% 48.98% 8,794
IYH iShares Dow Jones US Healthcare Sector 85 Sector - Healthcare -0.94% -0.39% 10.11% -2.60% 37.88% 8,801
PIO PowerShares Global Water 85 Sector - Water Resources 1.61% -2.35% 3.61% -3.64% 55.27% 8,803
GXC SPDR S&P China 85 Pacific Rim - China 1.40% 0.50% 2.89% -4.64% 52.83% 8,805
PZT PowerShares Insured New York Municipal Bond 85 Bond - Municipals 0.22% 0.83% 2.75% -0.34% 10.42% 8,807
FCG First Trust ISE - Revere Natural Gas 85 Commodities - Natural Gas 0.27% 0.76% 0.03% -2.27% 67.42% 8,820
EFG iShares MSCI EAFE Growth 85 Developed Markets - EAFE 0.90% 0.16% 4.33% -2.35% 48.46% 8,823
RJI Elements RICI Total Return ETN 85 Commodities - Blend 2.49% 1.17% 3.31% -4.17% 31.70% 8,825
BBH HOLDERS Biotechnology 86 HOLDERS -1.03% 4.13% 3.17% -3.16% 23.54% 8,838
EWN iShares MSCI Netherlands Investable Market 86 Europe - Netherlands 1.76% -1.00% -0.82% -2.71% 64.95% 8,855
Copyright 2010 All Rights Reserved Page 19 of 28
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AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
CMF iShares S&P California Municipal Bond 86 Bond - Municipals 0.15% 1.13% 2.61% -1.07% 9.42% 8,865
GSP iPath S&P GSCI Total Return Index ETN 86 Commodities - Blend 2.43% 2.26% 0.60% -3.83% 32.90% 8,869
DWX SPDR S&P International Dividend 86 Foreign Large Cap Blend 1.35% -1.34% 0.45% -3.19% 71.52% 8,880
TDX TDX Independence InTargt(XShare 86 Target Date 0.08% 1.15% 2.14% -0.51% 12.78% 8,902
IRY SPDR S&P International Health Care Sector 86 Sector - Healthcare 1.28% 0.24% 3.98% -2.42% 44.05% 8,920
PWZ PowerShares Insured California Municipal Bond 86 Bond - Municipals 0.39% 1.18% 1.50% -1.17% 11.33% 8,922
FDD First Trust Dow Jones STOXX European Select 86 Europe - Broad 3.59% -3.89% -5.31% -7.92% 50.43% 8,925
PEF PowerShares FTSE RAFI Europe 86 Europe - Broad 2.63% -2.55% -7.11% -8.64% 57.93% 8,927
IFGL iShares FTSE EPRA/NAREIT Global Real Estate ex-US 87 Sector - Real Estate Int'l 0.52% 1.28% -0.13% -2.73% 57.07% 8,948
XES SPDR S&P Oil & Gas Equipment & Services 87 Sector - Energy Services -0.23% 1.01% 1.62% -2.34% 58.46% 8,960
UBG E-Tracs CMCI Gold TR ETN 87 Commodities - Gold 2.07% -0.48% 8.35% -6.94% 29.71% 8,961
RWX SPDR Dow Jones International Real Estate 87 Sector - Real Estate Int'l 0.56% 1.27% -0.40% -3.12% 57.36% 8,963
CRO Claymore/Zacks Country Rotation 87 Developed Markets 1.14% -0.06% 5.09% -3.92% 47.38% 8,964
AGG iShares Barclays Aggregate Bond 87 Bond - Broad -0.09% 1.08% 2.05% -0.17% 7.99% 8,996
XLE Energy Select Sector SPDR 87 Sector - Energy 1.87% 0.42% 1.43% -1.71% 38.68% 9,014
PKN PowerShares Global Nuclear Energy 88 Sector - Energy (Nuclear) 1.88% 0.93% 1.74% -2.41% 38.18% 9,047
SZR WisdomTree Dreyfus South African Rand 88 Currency - South Africa 0.46% 2.29% 2.44% -1.96% 31.78% 9,050
IYE iShares Dow Jones US Energy Sector 88 Sector - Energy 2.26% 0.15% -0.22% -1.63% 34.35% 9,063
EFA iShares MSCI EAFE 88 Developed Markets - EAFE 1.34% -0.58% 2.00% -2.27% 48.72% 9,064
GBF iShares Barclays Government/Credit Bond 88 Bond - Broad 0.08% 0.83% 1.97% -0.03% 7.92% 9,066
UPW ProShares Ultra Utilities 88 Sector - Utilities 0.41% -3.60% 6.15% -6.43% 55.36% 9,069
RYE Rydex S&P Equal Weight Energy 88 Sector - Energy 0.01% 0.63% 2.38% -3.06% 54.81% 9,072
PZA PowerShares Insured National Municipal Bond 88 Bond - Municipals 0.40% 0.91% 1.49% -0.80% 11.70% 9,081
VEA Vanguard Europe Pacific 88 Developed Markets 1.30% -0.48% 1.94% -2.34% 48.92% 9,083
TTH HOLDERS Telecommunications 88 HOLDERS 1.39% 1.58% 5.83% -5.72% 14.03% 9,089
DPU PowerShares DB Commdity Long ETN 88 Commodities - Blend 3.07% 0.37% -1.29% -3.53% 32.59% 9,099
TFI SPDR Barclays Capital Municipal Bond 88 Bond - Municipals -0.52% 0.93% 2.79% -0.83% 7.73% 9,100
KWT Market Vectors Solar Energy 88 Sector - Energy (Alternate) 5.78% -11.88% -6.91% -22.61% 15.78% 9,111
Copyright 2010 All Rights Reserved Page 20 of 28
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AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
MBB iShares Barclays MBS Bond 88 Bond - Broad -0.15% 0.98% 2.15% -0.25% 6.73% 9,118
LD iPath DJ-UBS Lead TotRet ETN 88 Commodities - Industrial Metals (Specific) 1.88% -7.85% -0.07% -14.44% 67.42% 9,131
EFV iShares MSCI EAFE Value 89 Developed Markets - EAFE 1.89% -0.94% -0.26% -2.43% 48.42% 9,143
IAI iShares Dow Jones US Broker-Dealers 89 Sector - Financial Services 1.73% 3.14% -3.55% -5.31% 35.81% 9,145
EKH HOLDERS Europe 2001 89 HOLDERS 0.58% -1.14% 2.43% -2.76% 55.75% 9,164
GSG iShares GSCI Commodity Trust 89 Commodities - Blend 2.86% 0.69% -1.72% -4.19% 31.81% 9,180
FXC CurrencyShares Canadian Dollar 89 Currency - Canadian Dollar 0.02% 1.47% 2.22% -1.43% 21.96% 9,183
TIP iShares Barclays TIPS Bond 89 Bond - Inflation Protected 0.49% 0.28% 2.44% -0.96% 9.63% 9,238
SLV iShares Silver Trust 89 Commodities - Silver 2.11% -3.55% 1.34% -7.83% 49.06% 9,240
FCHI iShares FTSE China (HK Listed) 90 Pacific Rim - China 2.09% 0.95% -0.26% -7.00% 41.89% 9,252
DBT WisdomTree International Technology Sector 90 Sector - Technology -0.71% 1.40% 3.96% -1.76% 35.14% 9,256
IPE SPDR Barclays Capital TIPS 90 Bond - Inflation Protected 0.44% 0.39% 2.36% -1.02% 9.75% 9,257
MOO Market Vectors Agribusiness 90 Sector - Agribusiness -3.76% -4.12% 9.03% -7.29% 52.26% 9,271
IAU iShares COMEX Gold Trust 90 Commodities - Gold 0.81% 0.33% 7.76% -6.64% 30.57% 9,273
GLD SPDR Gold Shares 90 Commodities - Gold 0.76% 0.34% 7.81% -6.66% 30.53% 9,276
DBC PowerShares DB Commodity Index Tracking 90 Commodities - Blend 2.97% -0.49% 1.46% -5.72% 24.74% 9,290
EWZ iShares MSCI Brazil 90 Latin America - Brazil -0.82% -0.24% 0.29% -5.69% 84.41% 9,300
DKA WisdomTree International Energy Sector 90 Sector - Energy 3.04% -3.55% -4.68% -6.34% 43.40% 9,301
DWM WisdomTree DEFA Dividend 90 Developed Markets - EAFE 1.39% -1.98% 0.93% -2.94% 49.40% 9,308
LAG SPDR Barclays Capital Aggregate Bond 90 Bond - Broad -0.29% 0.84% 1.99% -0.29% 7.59% 9,309
ITM Market Vectors Intermediate Municipal 90 Bond - Municipals -1.11% 1.02% 2.46% -1.11% 8.57% 9,336
XLV Health Care Select Sector SPDR 90 Sector - Healthcare -1.26% -1.50% 9.13% -3.83% 35.58% 9,348
ADRU BLDRs Europe 100 ADR 91 Europe - Broad 1.48% -1.48% -0.86% -3.54% 51.21% 9,354
PXF PowerShares FTSE RAFI Developed Markets ex-US 91 Developed Markets 1.14% -1.34% -2.83% -4.40% 56.90% 9,355
EWK iShares MSCI Belgium Investable Market 91 Europe - Belgium 0.68% -0.53% -2.95% -4.12% 59.95% 9,357
VGK Vanguard European 91 Europe - Broad 1.12% -1.31% -0.97% -3.68% 52.88% 9,385
GVI iShares Barclays Intermediate Government/Credit Bond 91 Bond - Intermediate -0.04% 0.68% 1.82% -0.21% 6.98% 9,389
ADRD BLDRs Developed Markets 100 ADR 91 Developed Markets 1.24% -1.34% 0.62% -3.09% 47.51% 9,393
Copyright 2010 All Rights Reserved Page 21 of 28
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630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
DTH WisdomTree DEFA Equity Income 91 Developed Markets - EAFE 1.47% -1.84% -1.48% -4.13% 50.97% 9,394
DBS PowerShares DB Silver 91 Commodities - Silver 1.78% -3.96% 0.83% -8.13% 48.84% 9,395
TAO Claymore/Alphashares China Real Estate 91 Pacific Rim - China -1.84% 2.15% -1.71% -9.65% 52.34% 9,442
IEZ iShares Dow Jones US Oil Equipment & Services 91 Sector - Energy Services -0.40% -1.49% 0.90% -3.45% 59.87% 9,443
HAP Market Vectors Hard Assets Producers 92 Sector - Basic Materials 0.50% -1.84% 4.02% -4.85% 45.73% 9,464
NYF iShares S&P New York Municipal Bond 92 Bond - Municipals 0.31% 1.44% -1.24% -2.26% 8.71% 9,467
DGL PowerShares DB Gold 92 Commodities - Gold 0.57% 0.00% 7.00% -7.11% 28.83% 9,484
BSV Vanguard Short-Term Bond 92 Bond - UltraShort 0.14% 0.55% 1.59% -0.10% 4.80% 9,489
DBV PowerShares DB G10 Currency Harvest 92 Currency - Broad 0.98% -0.29% 0.08% -1.41% 17.67% 9,501
IEV iShares S&P Europe 350 92 Europe - Broad 1.09% -2.21% -1.25% -4.16% 50.56% 9,527
EWG iShares MSCI Germany 92 Europe - Germany 2.03% -1.47% -3.26% -5.27% 43.20% 9,539
PXJ PowerShares Dynamic Oil and Gas Services 93 Sector - Energy Services 1.56% -1.45% -3.10% -4.76% 47.57% 9,561
MLN Market Vectors Long Municipal Index 93 Bond - Municipals 0.43% 0.70% 1.96% -1.51% 12.55% 9,566
GDX Market Vectors Gold Miners 93 Sector - Precious Metals 1.15% -1.62% -3.35% -14.64% 50.97% 9,572
IXC iShares S&P Global Energy Sector 93 Sector - Energy 1.91% -1.22% -0.78% -3.38% 40.42% 9,587
CSJ iShares Barclays 1-3 Year Credit Bond 93 Bond - Short Term -0.05% 0.54% 1.96% -0.18% 7.96% 9,589
FEU SPDR DJ STOXX 50 93 Europe - Broad 0.92% -2.24% -1.32% -5.35% 50.34% 9,595
AGZ iShares Barclays Agency Bond 93 Bond - Broad 0.05% 0.53% 1.08% -0.38% 3.92% 9,607
DBP PowerShares DB Precious Metals 93 Commodities - Gold 0.80% -0.89% 5.47% -7.35% 32.11% 9,609
DOL WisdomTree International LargeCap Dividend 93 Developed Markets 0.83% -2.11% 0.11% -3.61% 47.03% 9,615
IEI iShares Barclays 3-7 Year Treasury Bond 93 Bond - Intermediate -0.15% 0.74% 1.37% -1.17% 5.49% 9,618
BWV iPath S&P500 CBOE BuyWrite Ix ETN 93 Speciality/Strategy -0.96% -0.02% 5.64% -2.13% 29.30% 9,619
IGF iShares S&P Global Infrastructure 93 Sector - Infrastructure -0.09% -1.62% 3.17% -3.34% 45.57% 9,634
ICLN iShares S&P Global Clean Energy 93 Sector - Energy (Alternate) 3.83% -12.20% -13.35% -22.12% 9.42% 9,637
PLK PowerShares Active Low Duration 93 Bond - Short Term 0.25% 0.20% 1.75% -1.02% 3.22% 9,647
USV E-Tracs CMCI Silver TR ETN 93 Commodities - Silver 1.40% -4.69% -0.82% -10.08% 46.94% 9,650
WMH HOLDERS Wireless 93 HOLDERS 1.29% -1.57% 3.70% -4.76% 15.54% 9,657
DPN WisdomTree International Consumer Staples Sector 94 Sector - Consumer Staples -3.18% -3.18% 2.99% -4.90% 52.57% 9,674
Copyright 2010 All Rights Reserved Page 22 of 28
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630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
UBN E-Tracs CMCI Energy TR ETN 94 Commodities - Energy (Broad) 2.72% -2.34% -1.78% -5.67% 27.45% 9,680
NIB iPath DJ-AIG Cocoa TotRet ETN 94 Commodities - Agriculture (Specific) 3.37% -14.24% -13.45% -17.03% 21.85% 9,690
ITE SPDR Barclays Capital Intermediate Term Treasury 94 Bond - Intermediate -0.12% 0.42% 0.85% -0.72% 4.25% 9,695
IST SPDR S&P International Telecommunications Sector 94 Sector - Telecom 1.24% -0.42% 0.68% -5.58% 37.35% 9,705
IXJ iShares S&P Global Healthcare Sector 94 Sector - Healthcare -1.44% -2.39% 6.71% -4.24% 37.68% 9,707
SMB Market Vectors Short Municipal 94 Bond - Municipals -0.86% 0.28% 2.12% -0.86% 4.97% 9,716
PUI PowerShares Dynamic Utilities 94 Sector - Utilities 0.60% -0.61% 3.12% -2.69% 22.34% 9,718
IFEU iShares FTSE EPRA/NAREIT Europe 94 Sector - Real Estate Int'l 1.21% -3.58% -5.94% -9.60% 47.92% 9,722
DXJ WisdomTree Japan Dividend 94 Pacific Rim - Japan -0.78% -1.02% 6.55% -2.47% 24.21% 9,726
SHY iShares Barclays 1-3 Year Treasury Bond 94 Bond - Short Term 0.10% 0.29% 0.72% -0.68% 2.38% 9,736
SHV iShares Barclays Short Treasury Bond 94 Bond - UltraShort 0.04% 0.04% 0.07% -0.01% 0.25% 9,754
PVI PowerShares VRDO Tax-Free Weekly 95 Bond - UltraShort -0.02% 0.04% 0.12% -0.04% 0.64% 9,780
PBW PowerShares Wilderhill Clean Energy 95 Sector - Energy (Alternate) 2.40% -6.24% -6.50% -13.17% 25.09% 9,785
BIL SPDR Barclays Capital 1-3 Month T-Bill 95 Bond - Short Term 0.00% -0.02% -0.06% -0.09% 0.07% 9,788
TAN Claymore/MAC Global Solar Energy 95 Sector - Energy (Alternate) 2.74% -14.21% -10.10% -24.89% 20.87% 9,792
ULQ Claymore US Capital Micro-Term Fixed Income 95 Bond - UltraShort -0.06% -0.06% -0.06% -0.10% 0.40% 9,804
PPH HOLDERS Pharmaceuticals 95 HOLDERS -2.05% -4.03% 6.57% -6.05% 35.80% 9,812
DJP iPath DJ-AIG Commdty Index TotRet ETN 95 Commodities - Blend 1.67% -2.32% 0.25% -6.95% 25.82% 9,822
DDI WisdomTree International Industrial Sector 95 Sector - Industrial -1.87% -4.14% -0.53% -6.23% 53.35% 9,823
OIH HOLDERS Oil Service 95 HOLDERS -1.67% -3.37% -2.09% -5.28% 50.86% 9,833
IXP iShares S&P Global Telecommunications Sector 95 Sector - Telecom 0.45% -0.35% 1.68% -4.71% 26.47% 9,837
PAGG PowerShares Global Agriculture 95 Sector - Agribusiness -5.80% -7.17% 5.66% -10.40% 42.88% 9,843
IDU iShares Dow Jones US Utilities Sector 95 Sector - Utilities -0.17% -1.62% 3.52% -3.01% 26.01% 9,844
TBT ProShares UltraShort Barclays Capital 20+ Year Treasury Bond 95 Inverse Funds 1.12% -1.83% 3.25% -18.84% 11.47% 9,852
DPC WisdomTree International Consumer Discretionary Sector 95 Sector - Consumer Cyclical -0.90% -3.17% 2.53% -4.34% 42.60% 9,856
VPU Vanguard Utilities 95 Sector - Utilities -0.23% -1.61% 3.48% -3.28% 25.04% 9,861
SHM SPDR Barclays Capital Short Term Municipal Bond 96 Bond - Municipals -0.94% -0.33% 1.36% -0.99% 3.06% 9,874
EWQ iShares MSCI France 96 Europe - France -0.40% -5.05% -4.93% -7.83% 47.68% 9,893
Copyright 2010 All Rights Reserved Page 23 of 28
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AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
UBD Claymore US Capital Markets Bond 96 Bond - Intermediate -0.71% 0.73% 1.78% -3.78% 20.26% 9,897
DRF WisdomTree International Financial Sector 96 Sector - Financial Services -2.64% -7.24% -10.09% -12.09% 51.05% 9,919
EZU iShares MSCI EMU 96 Europe - Broad -0.03% -4.53% -6.96% -8.67% 44.69% 9,922
CXA SPDR Barclays Capital California Municipal Bond 96 Bond - Municipals -0.80% 0.93% 1.35% -2.37% 9.92% 9,925
IEF iShares Barclays 7-10 Year Treasury Bond 96 Bond - Intermediate -0.34% 0.75% 0.08% -2.32% 5.56% 9,928
PBD PowerShares Global Clean Energy 96 Sector - Energy (Alternate) 1.14% -9.51% -8.71% -13.49% 30.54% 9,939
TLH iShares Barclays 10-20 Year Treasury Bond 96 Bond - Long Term -0.50% 0.77% -0.20% -3.25% 7.34% 9,943
FEZ SPDR DJ EURO STOXX 50 96 Europe - Broad -0.36% -5.57% -7.07% -9.25% 43.70% 9,948
CNY Market Vectors China Renminb/USD ETN 96 Currency 0.50% 0.22% 0.05% -4.20% 0.72% 9,953
XLU Utilities Select Sector SPDR 96 Sector - Utilities -0.68% -2.64% 2.56% -4.76% 22.96% 9,956
DBR WisdomTree International Health Care Sector 96 Sector - Healthcare -1.44% -3.12% 0.94% -4.90% 40.55% 9,957
EWI iShares MSCI Italy 97 Europe - Italy 0.11% -7.58% -13.36% -14.41% 39.44% 9,972
RHO Rydex Inverse 2X S&P Select Sectors Health Care 97 Inverse Funds 0.80% -0.13% -18.68% -48.21% 6.09% 9,975
BNZ WisdomTree Dreyfus New Zealand Dollar 97 Currency - NewZealand Dollar 0.27% -3.25% -3.16% -5.89% 31.78% 9,977
RXD ProShares UltraShort Health Care 97 Inverse Funds 1.33% -1.85% -20.23% -51.31% 4.79% 9,981
EWP iShares MSCI Spain 97 Europe - Spain -0.32% -9.70% -11.60% -14.57% 40.40% 9,991
GCC Greenhaven Continuous Commodity 97 Commodities - Blend 0.20% -3.56% 0.00% -6.61% 18.10% 9,996
JXI iShares S&P Global Utilities Sector 97 Sector - Utilities -0.45% -3.95% 0.51% -5.60% 27.84% 9,998
SUB iShares S&P Short Term National Municipal Bond 97 Bond - Municipal -0.46% 0.00% 0.24% -1.63% 1.21% 10,001
GII SPDR FTSE/Macquarie Global Infrastructure 100 97 Sector - Utilities -0.60% -2.92% -0.04% -5.20% 29.84% 10,003
CYB WisdomTree Dreyfus China Yuan 97 Currency -0.04% -0.51% -0.63% -1.60% 0.40% 10,009
NUCL iShares S&P Global Nuclear Energy 97 Sector - Energy (Nuclear) -0.05% -3.35% -4.62% -7.01% 29.90% 10,011
DBU WisdomTree International Utilities Sector 97 Sector - Utilities -0.21% -4.95% -2.33% -7.15% 30.27% 10,015
PGD Barclays Asian & Gulf Currency ETN 97 Currency -0.04% -0.66% -0.99% -2.15% 2.99% 10,019
PLW PowerShares 1-30 Laddered Treasury 97 Bond - Broad -0.56% 0.37% -0.86% -3.36% 6.24% 10,020
GBB iPath GBP/USD Exchange Rate ETN 97 Currency - British Pound 1.10% -5.92% -6.00% -10.05% 5.35% 10,022
SDP ProShares UltraShort Utilities 97 Inverse Funds -0.95% 0.53% -10.41% -43.65% 3.99% 10,024
UTH HOLDERS Utilities 97 HOLDERS -0.83% -2.87% 1.15% -5.49% 19.61% 10,026
Copyright 2010 All Rights Reserved Page 24 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
IPU SPDR S&P International Utilities Sector 97 Sector - Utilities -0.23% -4.77% -2.03% -7.57% 26.84% 10,028
CMD ProShares UltraShort DJ-AIG Commodity 97 Commodity - Broad -3.35% 0.27% -7.41% -47.61% 11.94% 10,030
JJG iPath DJ-AIG Grains TotRet ETN 97 Commodities - Agriculture (Broad) 1.01% -4.29% -6.58% -24.05% 5.56% 10,039
FXB CurrencyShares Brittish Pound Sterling 97 Currency - British Pound 0.84% -5.45% -6.08% -9.68% 5.94% 10,040
DEB WisdomTree Europe Dividend 97 Europe - Broad -2.80% -7.88% -6.43% -9.79% 39.38% 10,042
FAN First Trust ISE Global Wind 97 Sector - Energy (Alternate) 0.29% -10.93% -14.09% -16.47% 21.47% 10,044
WIP SPDR DB International Government Inflation-Protected Bond 97 Bond - Inflation Protected -0.14% -2.44% -2.50% -4.70% 19.60% 10,045
TLO SPDR Barclays Capital Long Term Treasury Bond 97 Bond - Long Term -0.74% 0.07% -1.83% -4.92% 6.23% 10,055
DZZ PowerShares DB Gold Double Short ETN 97 Inverse Funds -1.66% -0.69% -20.55% -48.05% 12.52% 10,057
NLR Market Vectors Nuclear Energy 97 Sector - Energy (Nuclear) -0.79% -4.72% -6.58% -8.39% 25.29% 10,064
FUD E-Tracs CMCI Food TR ETN 97 Commodities - Agriculture (Broad) 0.31% -7.28% -3.99% -12.97% 6.53% 10,066
DGZ PowerShares DB Gold Short ETN 98 Inverse Funds -0.93% -0.62% -9.60% -26.54% 6.07% 10,083
RJA Elements RICI Agriculture ETN 98 Commodities - Agriculture (Broad) -0.14% -3.67% -2.39% -11.14% 7.31% 10,086
FXS CurrencyShares Swedish Krona 98 Currency - Swedish Krona -1.60% -1.39% -3.43% -5.58% 20.69% 10,087
GRU Elements MLCX Grain ETN 98 Commodities - Agriculture (Broad) 0.00% -5.08% -6.48% -30.06% 6.54% 10,089
DBA PowerShares DB Agriculture 98 Commodities - Agriculture (Broad) 0.29% -5.82% -5.79% -14.86% 4.15% 10,095
PST ProShares UltraShort Barclays Capital 7-10 Year Treasury Bond 98 Inverse Funds 0.30% -2.91% -3.60% -16.06% 1.81% 10,097
PWND PowerShares NASDAQ Global Wind Energy 98 Sector - Energy (Alternate) -0.30% -14.77% -17.97% -22.72% 20.63% 10,100
TLT iShares Barclays 20+ Year Treasury Bond 98 Bond - Long Term -0.97% -0.31% -3.93% -9.46% 5.32% 10,101
YCL ProShares Ultra Yen 98 Currency - Yen -4.22% -3.18% -4.05% -13.50% 13.33% 10,103
BWZ SPDR Barclays Capital Short Term International Bond 98 Bond - International -0.69% -2.63% -4.09% -6.08% 11.51% 10,105
FUE Elements MLCX Biofuel ETN 98 Commodities - Energy (Specific) -2.35% -9.98% -6.02% -19.03% 25.04% 10,108
JJE iPath DJ-AIG Energy TotRet ETN 98 Commodities - Energy (Broad) -0.77% -6.81% -11.90% -13.74% 17.74% 10,110
FXY CurrencyShares Japanese Yen 98 Currency - Yen -2.07% -1.41% -1.50% -6.28% 7.38% 10,111
EFZ ProShares Short MSCI EAFE 98 Inverse Funds -1.67% -0.90% -4.88% -37.69% 2.25% 10,112
JYN iPath JPY/USD Exchange Rate ETN 98 Currency - Yen -1.49% -1.58% -1.88% -6.86% 7.10% 10,115
JYF WisdomTree Dreyfus Japanese Yen 98 Currency - Yen -2.00% -1.60% -1.60% -6.49% 7.26% 10,117
DGG WisdomTree International Communications Sector 98 Sector - Telecom -3.35% -6.67% -7.43% -11.32% 24.94% 10,129
Copyright 2010 All Rights Reserved Page 25 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
DPK Daily Developd Mkts Bear 3x(Dx) 98 Daily Funds -5.26% -4.22% -17.70% -78.28% 6.82% 10,131
EFU ProShares Ultra Short MSCI EAFE 98 Inverse Funds -3.58% -2.48% -11.44% -63.04% 4.70% 10,132
FXP ProShares UltraShort FTSE/Xinhua China 98 Inverse Funds -8.08% -10.74% -10.43% -65.01% 10.07% 10,137
DTO PowerShares DB Crude Oil Double SHort ETN 98 Inverse Funds -4.93% -15.58% -5.64% -69.09% 7.45% 10,139
JJA iPath DJ-AIG Agrcltr TotRet ETN 98 Commodities - Agriculture (Broad) -0.32% -6.53% -6.31% -13.85% 5.08% 10,140
EDV Vanguard Extended Duration Treasury 98 Bond - Long Term -1.64% -1.17% -9.04% -18.73% 4.49% 10,141
FXF CurrencyShares Swiss Franc 98 Currency - Swiss Franc -0.68% -3.29% -4.16% -6.24% 9.78% 10,143
EDZ Daily Emerging Mkts Bear 3x(Dx) 98 Daily Funds -8.03% -12.37% -30.33% -86.20% 10.41% 10,144
DDG ProShares Short Oil & Gas 98 Inverse Funds -3.29% -1.53% -2.38% -30.47% 1.71% 10,148
EUM ProShares Short MSCI Emerging Markets 98 Inverse Funds -2.47% -3.06% -8.48% -44.06% 3.51% 10,153
DUG ProShares UltraShort Oil & Gas 98 Inverse Funds -5.38% -3.78% -6.16% -53.94% 3.01% 10,156
EEV ProShares UltraShort MSCI Emerging Market 98 Inverse Funds -5.29% -7.62% -19.62% -71.50% 6.94% 10,161
SZO PowerShares DB Crude Oil Short ETN 98 Inverse Funds -2.51% -7.50% -2.68% -40.37% 3.49% 10,162
BWX SPDR Barclays Capital International Treasury Bond 98 Bond - International -1.87% -3.26% -4.33% -7.38% 10.95% 10,164
JEM Barclays GEMS Index ETN 98 Emerging Markets - Broad -2.53% -5.80% -3.12% -9.63% 13.89% 10,165
EWV ProShares UltraShort MSCI Japan 98 Inverse Funds -3.74% -2.86% -18.84% -45.88% 3.73% 10,166
REC Rydex Inverse 2x S&P Select Sectors Energy 98 Inverse Funds -4.68% -5.45% -9.65% -58.91% 3.31% 10,173
ERY Daily Energy Bear 3x(Dx) 99 Daily Funds -8.74% -8.11% -13.50% -73.49% 4.38% 10,176
SRS ProShares UltraShort Real Estate 99 Inverse Funds -3.50% -22.54% -40.51% -82.41% 9.72% 10,178
SMN ProShares UltraShort Basic Materials 99 Inverse Funds -4.06% -13.13% -30.02% -76.39% 5.13% 10,181
DEE PowerShares DB Commodity Double Short ETN 99 Inverse Funds -5.25% -8.45% -9.06% -45.53% 3.82% 10,183
IGOV iShares S&P/Citigroup International Treasury Bond 99 Bond - International -1.90% -3.36% -5.80% -7.91% 8.92% 10,184
UDN PowerShares DB US Dollar Bearish 99 Inverse Funds -1.30% -4.34% -5.93% -7.62% 7.15% 10,186
DDP Powershares DB Commodity Short ETN 99 Inverse Funds -2.91% -3.99% -5.98% -24.27% 1.94% 10,187
GRN iPath Global Carbon ETN 99 Carbon Offset -1.82% -3.73% -13.50% -20.42% 3.56% 10,188
FAZ Daily Financial Bear 3x(Dx) 99 Daily Funds -14.10% -30.36% -36.13% -89.53% 11.74% 10,189
DAG PowerShares DB Agriculture Double Long ETN 99 Commodities - Agriculture (Broad) -4.25% -22.78% -22.70% -38.08% 7.58% 10,190
BOS PowerShares DB Base Metals Short ETN 99 Inverse Funds -5.20% -4.85% -20.19% -46.65% 2.36% 10,191
Copyright 2010 All Rights Reserved Page 26 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
ISHG iShares S&P/Citigroup 1-3 Year International Treasury Bond 99 Bond - International -1.61% -3.81% -6.02% -7.76% 7.31% 10,192
JJS iPath DJ-AIG Softs Tot Ret ETN 99 Commodities - Agriculture (Specific) -6.17% -16.62% -11.50% -18.70% 20.96% 10,194
LSC Elements S&P Commodity Trends Indicator ETN 99 Commodities - Blend -0.36% -10.12% -9.23% -18.30% 0.98% 10,195
BOM PowerShares DB Base Metals Double Short ETN 99 Inverse Funds -11.43% -10.10% -41.00% -74.22% 4.12% 10,198
ERO iPath EUR/USD Exchange Rate ETN 99 Currency - Euro -1.07% -6.02% -9.64% -11.06% 4.35% 10,203
RFN Rydex Inverse 2X S&P Select Sectors Financial 99 Inverse Funds -8.44% -19.48% -21.23% -76.44% 8.77% 10,205
JO iPath DJ-AIG Coffee TotRet ETN 99 Commodities - Agriculture (Specific) -2.13% -9.63% -12.73% -15.77% 6.85% 10,209
AGF PowerShrares DB Agriculture Long ETN 99 Commodities - Agriculture (Broad) -1.79% -12.65% -12.85% -20.55% 2.91% 10,211
GAZ iPath DJ-AIG Natural Gas TotRet ETN 99 Commodities - Natural Gas -6.26% -28.79% -35.79% -52.23% 7.38% 10,213
SKF ProShares UltraShort Financials 99 Inverse Funds -8.90% -20.11% -23.78% -74.29% 7.73% 10,215
ULE ProShares Ultra Euro 99 Currency - Euro -4.28% -12.48% -18.66% -20.97% 7.16% 10,217
SGG iPath DJ-AIG Sugar Tot Ret ETN 99 Commodities - Agriculture (Specific) -13.52% -41.55% -32.01% -45.37% 6.30% 10,221
TLL ProShares UltraShort Telecom 99 Inverse Funds -7.30% -12.59% -25.02% -48.15% 2.93% 10,222
FXE CurrencyShares Euro 99 Currency - Euro -1.96% -6.12% -9.43% -10.90% 4.30% 10,223
UAG E-Tracs CMCI Agriculture TR ETN 99 Commodities - Agriculture (Broad) -2.17% -10.90% -11.77% -17.05% 4.58% 10,228
TZA Daily SmallCap Bear 3x(Dx) 99 Daily Funds -15.46% -33.66% -45.66% -83.90% 4.12% 10,229
MWN Daily MidCap Bear 3x(Dx) 99 Daily Funds -11.17% -27.55% -41.89% -82.14% 4.73% 10,231
BGZ Daily LargeCap Bear 3x(Dx) 99 Daily Funds -9.31% -18.69% -32.52% -74.93% 4.82% 10,232
RMS Rydex Inverse 2X S&P MidCap 400 99 Inverse Funds -4.15% -20.23% -30.07% -66.34% 2.40% 10,233
EU WisdomTree Dreyfus Euro 99 Currency - Euro -2.43% -6.70% -10.03% -11.02% 4.07% 10,234
SJF ProShares UltraShort Russell 1000 Value 99 Inverse Funds -8.09% -14.07% -22.33% -61.39% 3.87% 10,236
SDS ProShares UltraShort S&P 500 99 Inverse Funds -6.01% -11.65% -21.38% -57.78% 3.27% 10,237
RSW Rydex Inverse 2X S&P 500 99 Inverse Funds -5.91% -11.54% -21.13% -57.45% 3.20% 10,238
SEF ProShares Short Financials 99 Inverse Funds -4.44% -10.22% -11.91% -46.53% 3.91% 10,240
TYP Daily Technology Bear 3x(Dx) 99 Daily Funds -13.32% -19.57% -39.71% -78.82% 3.53% 10,244
SJL ProShares UltraShort Russell MidCap Value 99 Inverse Funds -8.22% -19.77% -30.72% -69.08% 3.61% 10,248
DXD ProShares UltraShort Dow 30 99 Inverse Funds -6.38% -9.88% -22.41% -55.94% 2.28% 10,249
SZK ProShares UltraShort Consumer Goods 99 Inverse Funds -2.68% -11.53% -21.69% -54.11% 1.49% 10,250
Copyright 2010 All Rights Reserved Page 27 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA
AdvisorGuide Relative Strength Ranking for Exchange Traded Products
Ranking of 10,330 selected funds and indices as of 04/16/2010 sorted Ascending by Combo Percent Rank
Symbol
Interm.
Signal
Long Term
Signal
Combo %
Rank Category 1Mo % 3Mo % 6Mo %
% From 52
Week High
% From 52
Week Low
Combo
Rank
UNG United States Natural Gas 99 Commodities - Natural Gas -9.11% -29.88% -37.94% -58.88% 3.91% 10,251
SJH ProShares UltraShort Russell 2000 Value 99 Inverse Funds -11.72% -25.17% -33.77% -70.03% 3.08% 10,256
TWM ProShares UltraShort Russell 2000 99 Inverse Funds -10.57% -23.48% -31.87% -68.21% 2.67% 10,258
RRZ Rydex Inverse 2X Russell 2000 99 Inverse Funds -10.43% -22.96% -31.14% -67.63% 2.71% 10,263
MZZ ProShares UltraShort Midcap 400 99 Inverse Funds -7.82% -20.20% -30.12% -66.38% 2.57% 10,266
SH ProShares Short S&P 500 99 Inverse Funds -3.02% -5.90% -10.97% -34.19% 1.59% 10,267
DOG ProShares Short Dow 30 99 Inverse Funds -3.25% -4.91% -11.70% -33.05% 1.12% 10,275
SDD ProShares UltraShort Small Cap 600 99 Inverse Funds -9.89% -22.73% -31.66% -67.36% 2.14% 10,277
SKK ProShares UltraShort Russell 2000 Growth 100 Inverse Funds -10.47% -21.16% -29.64% -66.18% 1.96% 10,279
SSG ProShares UltraShort Semiconductors 100 Inverse Funds -16.14% -26.84% -38.17% -70.69% 2.49% 10,281
SDK ProShares UltraShort Russell MidCap Growth 100 Inverse Funds -8.57% -18.66% -28.60% -65.02% 2.53% 10,282
SIJ ProShares UltraShort Industrials 100 Inverse Funds -9.80% -19.38% -31.86% -67.86% 2.59% 10,283
SFK ProShares UltraShort Russell 1000 Growth 100 Inverse Funds -5.81% -11.53% -22.72% -57.29% 2.23% 10,284
SCC ProShares UltraShort Consumer Services 100 Inverse Funds -10.16% -23.34% -30.57% -61.51% 2.41% 10,288
REW ProShares UltraShort Technology 100 Inverse Funds -9.09% -12.82% -27.66% -63.33% 2.63% 10,290
RTW Rydex Inverse 2X S&P Select Sectors Technology 100 Inverse Funds -8.18% -11.35% -25.39% -58.03% 1.32% 10,293
QID ProShares UltraShort QQQ 100 Inverse Funds -8.51% -16.45% -29.08% -62.49% 2.13% 10,300
RWM ProShares Short Russell 2000 100 Mid Cap Blend -5.35% -12.13% -16.71% -42.10% 1.33% 10,301
MYY ProShares Short MidCap 400 100 Inverse Funds -4.12% -10.57% -16.17% -40.97% 1.10% 10,302
SBB ProShares Short Small Cap 600 100 Inverse Funds -4.98% -11.79% -16.67% -41.51% 1.14% 10,314
PSQ ProShares Short QQQ 100 Inverse Funds -4.25% -8.30% -15.38% -37.99% 1.12% 10,320
PTD E-Tracs UBS Short Platinum ETN 100 Inverse Funds -84.23% -84.03% -85.05% -86.29% 0.00% 10,326
Copyright 2010 All Rights Reserved Page 28 of 28
AdvisorGuide, LLC. Member: FPA
800-434-6583 www.advisorguideonline.com Member: NAAIM
630-839-7969 eFax Past Performance Does Not Guarantee Similar Future Performance Affiliate Member: MTA