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XLI · Industrials
distributionIndustries ranked by money flow, relative strength and volume pressure. Same BUY / CONTINUATION rules as the sector orbs.
Sector MFI Score
24
83 S&P 500 constituents
Each orb is one of XLI's industries — colors and sizes follow the same signal scores, hover for the name, click to expand its stocks below.
booting…
The 20 industries in Industrials
Aerospace & DefensedistributionBUY#1 · 13 holdings · MFI 21.22
- $AXONAxon Enterprise IncBUY25.39
- $BABoeing Company40.99
- $GDGeneral Dynamics CorporationBUY28.22
- $GEGE AerospaceBUY37.67
- $HIIHuntington Ingalls Industries IncBUY34.96
- $HONAHoneywell Aerospace Inc58.85
- $HWMHowmet Aerospace Inc41.32
- $LHXL3Harris Technologies Inc40.63
- $LMTLockheed Martin Corporation33.98
- $NOCNorthrop Grumman Corporation53.9
- $RTXRTX CorporationBUY19.33
- $TDGTransdigm Group IncorporatedBUY11.71
- $TXTTextron Inc55.26
Data Processing & Outsourced ServicesdistributionBUY#2 · 1 holdings · MFI 23.42
Research & Consulting ServicesdistributionBUY#3 · 2 holdings · MFI 26.43
Industrial Machinery & Supplies & ComponentsdistributionBUY#4 · 14 holdings · MFI 25.3
- $DOVDover Corporation42.43
- $FTVFortive CorporationBUY26.92
- $GWWW.W. Grainger IncBUY28.54
- $HUBBHubbell Inc47.2
- $IEXIDEX CorporationBUY24.5
- $IRIngersoll Rand IncBUY33.87
- $ITWIllinois Tool Works Inc37.92
- $NDSNNordson Corporation30.4
- $OTISOtis Worldwide CorporationBUY33.54
- $PHParker-Hannifin CorporationBUY34.88
- $PNRPentair plcBUY19.15
- $SNASnap-On IncorporatedBUY17.58
- $SWKStanley Black & Decker Inc40.09
- $XYLXylem Inc. Common Stock New34.61
Building ProductsdistributionBUY#5 · 9 holdings · MFI 25.68
- $ALLEAllegion plc39.38
- $AOSA.O. Smith CorporationBUY32.97
- $BLDRBuilders FirstSource IncBUY35.11
- $CARRCarrier Global CorporationBUY24.13
- $FERGFerguson Enterprises IncBUY24.1
- $JCIJohnson Controls International plc65.15
- $LIILennox International IncBUY36.74
- $MASMasco Corporation46.96
- $TTTrane Technologies plc42.42
Heavy Electrical Equipmentneutral#6 · 2 holdings · MFI 60.67
Passenger Ground TransportationdistributionBUY#7 · 1 holdings · MFI 30.09
Passenger Airlinesdistribution#8 · 3 holdings · MFI 36.63
Agricultural & Farm Machineryaccumulation#9 · 1 holdings · MFI 62.81
Cargo Ground Transportationneutral#10 · 3 holdings · MFI 57.79
Trading Companies & Distributorsneutral#11 · 2 holdings · MFI 58.29
Rail TransportationdistributionBUY#12 · 3 holdings · MFI 31.96
Construction & Engineeringneutral#13 · 4 holdings · MFI 60.99
Environmental & Facilities ServicesdistributionBUY#14 · 4 holdings · MFI 33.09
Construction Machinery & Heavy Transportation Equipmentneutral#15 · 4 holdings · MFI 42.82
Industrial Conglomeratesdistribution#16 · 3 holdings · MFI 38.96
Electrical Components & Equipmentneutral#17 · 5 holdings · MFI 43.82
Diversified Support Servicesneutral#18 · 3 holdings · MFI 46.11
Human Resource & Employment Servicesdistribution#19 · 2 holdings · MFI 34.64
Air Freight & Logisticsneutral#20 · 4 holdings · MFI 41.96
MFI = 14-day Money Flow Index (0–100). Data as of 2026-09-18.
How it works — industries, constituents, formulas and data source
What it is. The Industry Matrix applies the exact same technical scoring as the sector orbs, one level down: to GICS industry baskets built from S&P 500 members, and to each constituent stock individually.
- Money Flow Index, 14 days (MFI) — 0–100 oscillator over typical price × volume. Above 50 = net buying pressure, below 50 = net selling pressure.
- Relative strength vs the S&P 500, 20 days — the basket's (or stock's) 20-session return minus SPY's over the same window.
- Volume pressure, 20-day z-score — today's volume vs its own 20-day average in standard deviations.
Industry baskets. Each industry's price series is the equal-weight average of its members' closes; volume is the members' summed volume. Formulas and thresholds are identical to the sector level.
Signals. Green = accumulation(MFI ≥ 60 and positive relative strength);red = distribution (MFI ≤ 40 and negative). A badge fires when price also confirms: BUY = distribution + close below the lower 1σ Bollinger Band; CONT = accumulation + close above the upper 1σ band. No confirmation, no badge — same rule as the front page.
Win-rate columns. Each row shows how often that signal has historically been followed by a rise over 20 trading days, computed on ~28 years of daily data with no look-ahead (consecutive signal days count once; exit at close of day t+20). Format: win% ± margin of error (n = number of trades). These are context, not proof — read them together with n.
The statistical bar. Two thresholds govern what "established" means here, both fixed in advance on ~28 years of daily data and requiring win rate above 55% at 20 days:
- Sector-level publication gate (n > 500). What a signal must clear before it's presented as proven on the front page. Sector BUY (n=2,403) and CONTINUATION (n=3,501) pass it; read how the bar works.
- Sub-sector display gate (n > 300). Industries and single stocks trade fewer signals than 11 broad ETFs, so their buckets are smaller. At n=300 the margin of error at a 55–65% win rate is about ±2.9pp at 95% confidence — still tight enough to be informative. 94 of 127 industry buckets and 343 constituent stocks currently clear it.
Badges always show today's live signal regardless of sample size — the win-rate columns carry the evidence next to them. Buckets below the bar are research-grade context, not proven edges. Full tables in the back-test report.
Membership. Industries follow the GICS sub-industry of each company in today's S&P 500 — e.g. Apple sits in Technology Hardware, Storage & Peripherals, not Semiconductors. Index changes quarterly; the mapping refreshes from the public constituents list.
Data source. Daily OHLCV from Yahoo Finance (adjusted for splits/dividends), recomputed after every US market close — no look-ahead, no smoothing. Charts cover the last 30 sessions.
Honest labels. Technical rotation signals from price and volume — not dollar flows, not investment advice. See the disclaimer.