Europe Stock Sectors

Explore the performance of Europe sectors and industries. Use the filters available to sort sectors and industries by returns, Momentum, Trend etc. Click on a specific sector to explore MacroVar research for the specific sector. Sign Up free to access MacroVar analytics for a specific industry and the global financial markets and economies. Learn more about MacroVar research methodology and sector analysis.





IndustryPrice24h%MomentumTrendExhaustionLast 20 Days
STOXX Europe 600 Oil & Gas332,960.01305-100-100
STOXX Europe 600 Insurance394,640.00346-10050
STOXX Europe 600 Personal & Household Goods960,780.00143-100-100
STOXX Europe 600 Health Care1 136,380.00101-100-50
STOXX Europe 600 Banks204,090.00025-50100
STOXX Europe 600501,58-0.00002-100-50
STOXX Europe 600 Basic Resources519,63-0.00017-100-75
EURO STOXX 504 740,34-0.00092-100-75
STOXX Europe 600 Travel & Leisure264,79-0.00155100100
STOXX Europe 600 Industrial Goods & Services878,94-0.00162-50100
STOXX Europe 600 Retail443,00-0.00174-1000
STOXX Europe 600 Telecommunications225,89-0.00247-10050
STOXX Europe 600 Chemicals1 199,64-0.00405-100-100
STOXX Europe 600 Media465,20-0.00434075
STOXX Europe 600 Food & Beverage644,56-0.00462-100-100
STOXX Europe 600 Construction & Materials702,91-0.00497-5075
STOXX Europe 600 Financial Services801,67-0.00738-10075
STOXX Europe 600 Automobiles & Parts526,69-0.00946-100-100
STOXX Europe 600 Technology764,48-0.01048-50-100
STOXX Europe 600 Real Estate127,70-0.0139-100-25
STOXX Europe 600 Utilities385,10-0.0174-1000

EU Stock Sector Analysis

STOXX Europe sector indices are used to track the stock performance of each sector. MacroVar analyzes each stock sector's performance by estimating three major quantitative indicators: 1. Momentum, 2. Trend and 3. Trend Exhaustion (overbought or oversold and ready for reversal).

Europe Credit Spreads Sector Analysis

MacroVar analyzes each sector's stock performance in conjuction with the bond market. Bonds analysis is used to monitor the market sentiment for a sector's credit risk. During periods of increasing sector risk, a sector's credit spreads rise before any moves in the stock market. Hence, MacroVar analyzes both markets to identify arbitrage opportunities. Iboxx fixed income indices are used to monitor sector credit spreads. MacroVar analyzes each sector's credit spreads by estimating three major quantitative indicators: 1. Momentum, 2. Trend and 3. Trend exhaustion. MacroVar also monitors the credit default swaps market.

Europe Sector Econonomic Data Analysis

The performance of each economic sector for all the countries of the European Union is analyzed using the detailed monthly data provided by Eurostat.

Sector Real-time Newsfeed

MacroVar monitors the global news feed and categorizes news by industry.

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