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Sector Report β€” Open SIC 7311 Β· 6 tickers

Services-Advertising Agencies

SIC 7311 6 tickers analyzed 71 total alerts

Tickers
6
In this sector
Total alerts
71
Trade-Ideas signal history
Avg win rate
41.5%
Sector baseline
Avg gain
-0.53%
Per-alert expectancy

πŸ“ˆ Sector Performance by Timeframe

5-Minute

Avg Gain: -0.58%
Win Rate: 31.9%

15-Minute

Avg Gain: -0.70%
Win Rate: 33.3%

30-Minute

Avg Gain: -0.51%
Win Rate: 47.1%

60-Minute

Avg Gain: -0.79%
Win Rate: 44.3%

EOD

Avg Gain: -0.08%
Win Rate: 50.7%

MFE/MAE

Avg MFE: +6.25%
Avg MAE: -2.67%

πŸ“‹ Services-Advertising Agencies Stocks (6)

All tickers in SIC 7311 with Trade-Ideas alert data, sorted by alert count.

# Ticker Company Market Cap Alerts Avg Win Rate Avg 5min MFE Action
1 STRN SMART Trend 25 ETF - 24 33.3% -0.47% +6.38% View β†’
2 GRPN Groupon, Inc.Common Stock $785.2M 23 47.0% -0.93% +8.51% View β†’
3 OMC Omnicom Group Inc. $20.34B 9 46.7% -0.19% +1.38% View β†’
4 STGW Stagwell Inc. Class A Common Stock $2.04B 7 31.4% -1.22% +2.86% View β†’
5 CRTO Criteo S.A. Ordinary Shares $721.7M 4 51.7% +0.30% +5.23% View β†’
6 SWAG Stran & Company, Inc. Common Stock $27.4M 4 58.3% +0.76% +8.29% View β†’

πŸš€ Scan for Alpha in Services-Advertising Agencies

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πŸ“Š Services-Advertising Agencies Sector Intelligence

⚑ High Volatility Sector

The Services-Advertising Agencies sector (SIC 7311) aggregates data from 6 stocks. With an average Maximum Favorable Excursion (MFE) of +6.25%, this sector is highly aggressive, suited for experienced volatility traders looking for explosive moves.

πŸ“ˆ Statistical Expectancy

Across 71 analyzed alerts, the sector shows a 41.5% Win Rate with an average gain of -0.53%.

⚠️ This suggests a difficult trading environment where strict stock selection is critical. Focus on the top performers within this sector.

βš–οΈ Sector Notable

A notable mover in this group is GRPN with a 47.0% win rate across 23 alerts, trading closely in line with the sector average (41.5%).

This sector shows balanced performance. Focus on individual stock selection and timing rather than broad sector momentum.