StoCoTo Selection – stock charts, comparisons, insights and opportunities

Comparison of a selection of stocks listed on the American and European indexes from different sectors that are available in the StoCoTo webtool. The direct comparison is made using performance indicators and features (price, volume, volatility) of each listed company. The stock analysis tool provides insights into price changes, volatility, relative volume, RSI, MFI, distance to minimum and relative position by comparing two features in a chart. Hence, a much better understanding of each stock is obtained. A peer group analysis is provided to get insights into the overall price performance, trading volume and volatility of this selection in relation to all other stocks. The selection of stocks included in this unique group has been made based on the most traded stocks in each index or sector, some companies generated much interest and several were opportunities as they came along. The selection will be gradually expanded over time.

For all traded companies in the StoCoTo Selection, a deep-dive analysis with technical indicators such as OBV and MFI over time in relation to their share price is available. These companies can found through the next set of links: ABB, AbbVie, Adobe, Adyen, Ahold Delhaize, Airbus, Air Liquide, Akzo Nobel, Align Technologies, Allianz, Alphabet, Amazon, AMD, Apple, ASML, Beiersdorf, BNP Paribas, Broadcom, Caterpillar, Chevron, Coca-Cola, Costco Wholesale, Danaher, Danone, Deutsche Bank, Eli Lilly, Enphase Energy, ExxonMobil, Ford Motor Company, General Motors, Home Depot, Goldman Sachs, Heineken, Henkel, ING, Intel, Johnson & Johnson, JPMorgan Chase & Co, Kraft Heinz, L’Oreal, LVMH, McDonald’s, Mercedes-Benz, Merck, Meta Platforms, Microsoft, Nestlé, Netflix, Nike, Novartis, NVIDIA, O’Reilly Automotive, PepsiCo, Pfizer, Procter & Gamble, Qiagen, Rheinmetall, Richemont, Roche, Salesforce, Sanofi, SAP, Shell, Siemens, Siemens Energy, Sika, Stellantis, Tesla, TotalEnergies, UBS Group, Unilever, VISA and Walmart.

Chart sections comparing and analysing the StoCoTo selection
Key features
Index performance
Performance insights
Trading indicators
Understanding risk
Peer comparison

Key Features · The main indicator values of individual StoCoTo selection shares used in the stock comparison [guide]

Company Close Price-1m Price-3m Volume-1m Volatility-1m Volatility-3m RSI-14 MFI TradeValue-1m
ABB 42.33 -15.3 -21.0 142.2 7.8 8.2 72.3 61.5 4,290,663,368.00
ASML 591.00 -12.4 -21.0 148.9 6.3 8.4 64.6 54.2 15,002,813,389.00
AbbVie 179.38 -14.2 6.0 150.6 7.7 7.7 49.3 51.3 38,985,850,215.00
Adobe 359.36 -8.9 -17.8 124.6 5.8 9.8 44.9 44.2 35,559,960,659.00
Adyen 1,472.80 -2.3 -2.2 125.5 5.7 9.7 79.0 60.8 2,951,293,679.00
Ahold Delhaize 35.85 5.5 5.7 150.2 2.5 1.8 85.1 87.2 2,661,974,004.00
Air Liquide 178.82 0.8 10.1 149.2 3.1 3.2 92.2 76.7 4,181,994,253.00
Airbus CAC 137.64 -17.7 -16.7 136.4 9.7 7.5 56.6 51.9 5,805,386,672.00
Akzo Nobel 56.06 -5.7 -5.8 124.8 6.4 6.0 79.7 60.6 749,252,832.00
Allianz 355.50 -0.2 16.0 182.4 4.2 4.9 94.3 80.5 9,985,429,764.00
Alphabet 160.26 -5.7 -19.9 126.7 4.2 9.5 48.8 44.3 88,331,488,415.00
Apple 205.89 -6.7 -8.0 127.3 7.3 8.1 57.3 57.0 330,024,991,717.00
BNP Paribas 72.46 -8.8 16.3 155.8 7.5 7.1 76.6 71.4 7,801,873,424.00
Beiersdorf 120.95 1.9 -4.3 142.0 2.1 5.0 82.0 70.6 978,350,608.00
Broadcom 184.82 -3.4 -23.3 111.5 6.7 12.8 49.7 43.0 135,420,369,829.00
Caterpillar 305.24 -10.7 -23.2 122.6 7.4 9.3 53.4 50.4 22,285,393,662.00
Chevron 138.45 -16.1 -11.5 136.6 9.7 6.2 35.5 35.2 36,480,138,920.00
Coca-Cola 73.36 6.4 18.8 118.9 2.3 5.0 75.8 66.6 29,851,416,094.00
Costco Wholesale 972.84 5.1 3.0 132.9 2.6 5.6 53.2 63.1 58,720,038,255.00
Danaher 195.57 -8.1 -19.9 135.5 5.7 7.4 54.1 58.4 20,007,252,093.00
Danone 75.52 6.8 15.9 152.5 2.3 3.7 100.0 100.0 3,371,451,477.00
Deutsche Bank 22.03 -5.7 17.4 147.2 7.9 7.5 96.3 85.3 5,082,920,899.00
Eli Lilly 852.82 -1.4 13.1 107.7 6.1 6.4 69.6 72.6 66,741,094,814.00
Enphase Energy 45.73 -26.4 -25.0 110.1 10.0 8.6 33.1 25.9 5,439,549,714.00
Ford Motor 9.99 -2.5 -0.4 208.4 4.1 3.9 61.4 60.4 33,301,874,948.00
General Motors 46.71 -9.2 -11.5 119.4 5.7 5.3 56.6 49.9 16,941,023,350.00
Goldman Sachs 540.00 -6.9 -14.7 144.9 6.9 10.2 60.4 62.3 40,189,950,050.00
Heineken 77.84 3.0 18.3 126.3 2.9 6.8 85.8 88.5 1,657,814,832.00
Henkel 68.44 -5.9 -18.1 127.3 4.3 8.8 66.3 53.5 795,301,570.00
Home Depot 358.19 -1.5 -12.7 112.4 2.3 6.8 53.1 68.1 31,722,815,560.00
ING 16.60 -9.3 5.4 130.3 7.1 6.6 73.5 82.7 5,034,455,182.00
Intel 21.21 -12.4 -3.0 127.7 8.7 10.1 47.4 36.8 48,190,477,445.00
JPMorgan Chase 241.70 -2.6 -8.0 140.4 4.8 7.3 59.0 57.8 72,022,457,722.00
Kraft Heinz 29.65 1.8 2.0 114.3 2.4 3.0 56.6 67.2 6,992,608,294.00
L’Oreal 379.50 8.7 8.5 142.4 3.1 2.8 85.2 68.5 4,776,940,075.00
LVMH 500.60 -16.0 -29.9 170.4 7.7 12.5 51.2 42.6 9,899,300,303.00
Linde 450.55 -1.9 1.8 119.6 3.1 2.5 53.4 52.5 23,830,109,387.00
McDonald’s 316.73 3.6 12.6 116.7 1.9 3.0 67.5 55.4 29,629,988,602.00
Mercedes-Benz 53.74 -9.3 -4.5 128.8 6.9 7.6 100.0 73.9 4,306,400,574.00
Meta Platforms 530.70 -14.2 -14.9 135.6 7.9 11.3 31.3 23.7 250,763,742,525.00
Microsoft 383.51 -2.4 -14.0 119.1 3.2 5.5 45.0 42.7 218,285,494,969.00
NVIDIA 105.23 -13.3 -28.4 102.8 7.0 10.8 37.2 50.2 767,342,991,618.00
Nestle 87.47 -2.4 17.9 122.2 2.6 6.0 80.8 76.9 11,583,114,325.00
Netflix 1,083.56 11.5 13.6 149.3 5.9 5.1 81.1 90.7 121,412,175,573.00
Nike 58.07 -13.8 -21.6 188.4 8.2 12.5 44.9 49.7 35,936,239,904.00
Novartis 92.27 -6.0 2.8 131.6 5.4 4.4 100.0 75.2 10,062,689,617.00
Pepsico 138.21 -5.6 -6.7 129.8 2.5 2.9 32.9 42.1 26,481,813,022.00
Pfizer 22.73 -13.1 -12.6 131.0 6.3 6.4 53.6 69.6 28,367,772,450.00
Rheinmetall 1,374.50 4.2 91.5 130.7 4.6 24.2 60.4 43.6 11,918,862,571.00
Richemont 145.15 -10.5 -13.7 120.8 7.9 10.2 92.4 58.9 4,281,258,945.00
Roche 261.50 -14.0 -4.5 136.1 8.6 6.9 93.9 66.2 11,212,907,483.00
SAP 240.95 -6.9 -8.1 153.4 5.2 7.2 69.9 49.6 12,972,133,712.00
Salesforce 260.81 -8.8 -21.6 102.2 5.7 11.6 46.0 33.4 40,941,257,558.00
Sanofi CAC 92.95 -10.5 -6.0 151.5 6.0 5.7 81.7 44.3 5,783,497,514.00
Shell 28.59 -13.0 -10.8 139.5 9.3 6.0 82.8 68.6 6,006,205,273.00
Siemens 199.14 -13.0 -3.9 159.9 8.5 8.1 81.1 65.9 9,185,713,527.00
Siemens Energy 66.26 11.1 20.2 108.8 9.3 7.5 100.0 82.1 4,907,864,807.00
Sika 203.20 -10.5 -11.0 161.5 6.9 7.3 83.4 63.6 2,624,779,026.00
Stellantis CAC 8.09 -28.5 -36.3 161.2 15.0 16.5 56.9 57.9 1,100,323,130.00
Tesla 254.99 -8.4 -38.6 146.6 7.0 20.3 38.6 45.2 833,369,732,012.00
TotalEnergies CAC 52.08 -10.1 -7.6 142.7 8.1 5.5 84.2 79.9 7,335,836,686.00
UBS Group 24.44 -16.0 -22.6 149.2 10.2 10.7 83.8 61.3 5,789,227,113.00
Unilever 56.10 4.2 3.7 127.3 2.4 2.2 85.9 81.7 2,140,775,815.00
Visa 335.97 -2.3 3.8 99.7 3.6 3.4 53.5 52.9 54,884,287,426.00

Index Performance · Recent behaviour of equities based trading activity and results [guide]

Performance Insights · Combine features to analyse their relationship [guide]

Trading Indicators · Guidance with technical indicators to identify StoCoTo selection shares of interest to potentially buy or sell [guide]

Understanding Risk · Recent fluctuations or movements that indicate possible change in share price [guide]

Peer Comparison · Compare the performance of companies listed on the StoCoTo selection to all available on StoCoTo [guide]

Useful resources

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