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NASDAQ100 - Index
Mid-term Indicant Performance Tables Since
1985
Scroll down to see performance
and bull/bear signals and accessibility to historical charts.
This was updated on Jan 1, 2014 and will again be
updated at the conclusion of the next presidential cycle in 2017.
Click this sentence to see current performance tables.
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The $10,000 investment in 1993 buy
and hold account grew to $324,690 while the Indicant's increased to
$692,990. With that, the Indicant's performance advantage over buy and
hold amounts to 113.4%. The stock market bears in 1998, 2001-2002, and
2007-2008 helped propel the Indicant's advantage. The Indicant simply
maintained buy and hold from 1985 through the first chart in 1993. as the
NASDAQ100 components endured a significant amount of turnover during the
1980's. |
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NAS100 Bull/Bear Cycles |
Click Chart Years |
Bull Sig # |
Bull Sig Date |
Bull Sig Price |
Bear Sig # |
Bear Sig Date |
Bear Sig Price |
Weeks Held |
% Gain or Loss |
Indicant Value |
Buy/Hold Value |
Indicant Performance Advantage |
|
1 |
Start |
N/A |
10/04/85 |
110.08 |
N/A |
10/04/85 |
110.075 |
N/A |
|
$10,000 |
$10,000 |
0.0% |
|
2 |
1993-1997 |
N/A |
10/04/85 |
110.08 |
#01 |
04/23/93 |
333.66 |
394 |
203.1% |
$30,312 |
$30,312 |
0.0% |
|
3 |
1993-1997 |
#02 |
04/30/93 |
339.95 |
#03 |
04/15/94 |
366.29 |
50 |
7.7% |
$32,661 |
$33,276 |
-1.8% |
|
4 |
1993-1997 |
#04 |
06/03/94 |
382.78 |
#05 |
06/10/94 |
374.64 |
1 |
-2.1% |
$31,967 |
$34,035 |
-6.1% |
|
5 |
1993-1997 |
#06 |
08/12/94 |
376.96 |
#01 |
10/27/00 |
3175.25 |
324 |
742.3% |
$269,265 |
$288,462 |
-6.7% |
|
6 |
1997-2001 |
#02 |
06/29/01 |
1832.75 |
#03 |
07/06/01 |
1668.59 |
1 |
-9.0% |
$245,147 |
$151,587 |
61.7% |
|
7 |
1997-2001 |
#04 |
10/26/01 |
1454.90 |
#01 |
02/15/02 |
1436.7 |
16 |
-1.3% |
$242,080 |
$130,520 |
85.5% |
|
8 |
2001-2005 |
#02 |
10/25/02 |
995.54 |
#03 |
02/07/03 |
957.05 |
15 |
-3.9% |
$232,721 |
$86,945 |
167.7% |
|
9 |
2001-2005 |
#04 |
03/21/03 |
1092.37 |
#05 |
07/23/04 |
1375.48 |
70 |
25.9% |
$293,035 |
$124,958 |
134.5% |
|
10 |
2001-2005 |
#06 |
09/10/04 |
1413.00 |
#07 |
04/15/05 |
1408.59 |
31 |
-0.3% |
$292,120 |
$127,966 |
128.3% |
|
11 |
2001-2005 |
#08 |
05/13/05 |
1470.63 |
#01 |
05/19/06 |
1600.86 |
53 |
8.9% |
$317,989 |
$145,434 |
118.6% |
|
12 |
2005-2009 |
#02 |
08/18/06 |
1576.46 |
#03 |
01/11/08 |
1912.81 |
73 |
21.3% |
$385,834 |
$173,773 |
122.0% |
|
13 |
2005-2009 |
#04 |
04/04/08 |
1865.87 |
#05 |
07/04/08 |
1816.35 |
13 |
-2.7% |
$375,594 |
$165,010 |
127.6% |
|
14 |
2005-2009 |
#06 |
03/27/09 |
1251.47 |
#01 |
07/02/10 |
1728.34 |
66 |
38.1% |
$518,713 |
$157,015 |
230.4% |
|
15 |
2009-2013 |
#02 |
07/09/10 |
1814.79 |
#03 |
08/19/11 |
2038.22 |
58 |
12.3% |
$582,575 |
$185,166 |
214.6% |
|
16 |
2009-2013 |
#04 |
09/16/11 |
2306.09 |
#05 |
09/30/11 |
2139.18 |
2 |
-7.2% |
$540,410 |
$194,338 |
178.1% |
|
17 |
2009-2013 |
#06 |
10/14/11 |
2371.94 |
#07 |
11/25/11 |
2150.88 |
6 |
-9.3% |
$490,045 |
$195,401 |
150.8% |
|
18 |
2009-2013 |
#08 |
01/20/12 |
2437.02 |
#09 |
11/16/12 |
2534.16 |
43 |
4.0% |
$509,578 |
$230,221 |
121.3% |
|
19 |
2009-2013 |
#10 |
12/14/12 |
2628.09 |
#01 |
01/08/16 |
4643.63 |
160 |
56.3% |
$1,331,704 |
$464,363 |
186.8% |
|
20 |
2013-2017 |
#02 |
03/04/16 |
4717.02 |
TBD |
01/05/18 |
7136.56 |
96 |
51.3% |
$2,014,785 |
$713,656 |
182.3% |
TBD Means there was no signal at the
conclusion of 2017. They will be identified when the 2017-2021-charts are
updated
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