Relative Range
Where each sector and region sits in its own history versus the S&P 500
A daily reading for 41ETFs — each measured as price ÷ S&P 500, then ranked only inside that fund's trailing window. Near lows and near highs describe a range position, not a buy or sell call.
Data as of Sep 18, 2026 · updated daily · How to read this in 30 seconds · Methodology
Start here
30 seconds to orient
1. Ratio vs S&P 500
Rising line = outpacing the US market; falling = lagging. Absolute price is not the story.
2. Own history only
“Near lows (5%)” means lower than on 95% of that fund's past days — never vs another sector's PE or percentile.
3. Not a signal
A low reading is a place in a range. See the disclaimer.
Today's extremes
Furthest from mid-range right now
Lowest in their own history
- 1.XLY · State Street Consumer Discretionary Select Sector SPDR ETFNear lows (0%)
- 2.XLU · State Street Utilities Select Sector SPDR ETFNear lows (0%)
- 3.XLRE · State Street Real Estate Select Sector SPDR ETFNear lows (0%)
- 4.EWQ · iShares MSCI France ETFNear lows (0.1%)
- 5.INDA · iShares MSCI India ETFNear lows (0.1%)
At a glance
Where each group sits today
Quadrants only — open Sectors or Regions for the ranked list and daily reading.
US Sectors
Full list & reading →US Sectors · vertical axis is performance against the S&P 500 (dashed centre line = matching the S&P 500). Horizontal position is only versus each asset's own history — not a cheap/expensive call.
Broad Regions
Full list & reading →Broad Regions · vertical axis is performance against the S&P 500 (dashed centre line = matching the S&P 500). Horizontal position is only versus each asset's own history — not a cheap/expensive call.
Developed Markets
Full list & reading →Developed Markets · vertical axis is performance against the S&P 500 (dashed centre line = matching the S&P 500). Horizontal position is only versus each asset's own history — not a cheap/expensive call.
Emerging Markets
Full list & reading →Emerging Markets · vertical axis is performance against the S&P 500 (dashed centre line = matching the S&P 500). Horizontal position is only versus each asset's own history — not a cheap/expensive call.
Reports
Latest range notes
- Ten-Year Relative Price Percentiles for International and Regional ETFsAug 14, 2026On 2026-08-14, several country and regional exchange-traded funds reached multi-year relative-price lows, led by the iShares MSCI Saudi Arabia ETF at 0.1% within its 10-year window.
- Relative-Price Percentile Shifts for Sector and Region ETFsAug 7, 2026As of 2026-08-07, the State Street Utilities Select Sector SPDR ETF and the iShares MSCI Saudi Arabia ETF both reached relative-price percentiles of 0% within their 10-year windows.
Explore
Hubs and tools
Extremes
Furthest toward own lows or highs today.
US Sectors
11 GICS sector SPDRs on one page.
Regions
Broad, developed, and emerging ETFs.
Movers
Biggest ~1w and ~1m percentile shifts.
Heatmap
All 41 funds colored by own-history position.
Compare
Overlay 2–4 ratio lines vs the S&P 500.
Reports
Mon / Wed / Fri written pass on what moved.
Glossary
30-second how to read the labels.
Pin what you follow
Use Watchlist on any asset page — tickers stay in this browser only. Reports land Mon / Wed / Fri.