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ABOUT ZACKS PERFORMANCE

We are very proud of the returns generated by the Zacks Rank, our model
portfolios, and our Research Wizard strategies. We also are committed as a firm
to the concept of transparency and to providing you with accurate and
transparent explanation of our performance metrics. You will find this
information below. Just click on "details" to see the specifics in the Model
Portfolios, Zacks Method for Trading & Research Wizard strategies and Trading
Services. Some of the performance numbers we show are based on backtests while
others are based on the actual trades delivered to clients via our web sites. To
effectively use our services you should understand the difference between
returns of a backtest.

Questions or comments can be forwarded to support@zacks.com. Or call us
800.767.3771 x9339. (Outside the U.S., call 312.265.9339).

Return data displayed on this page has been updated as of August 5, 2024 unless
specifically noted otherwise.

 

Model Portfolios 2024 2023 2022 2021 Annualized* Information Zacks #1 Rank*
-1.99% +20.63% -7.62% +41.10% +23.68% Stocks, Disclosure Focus List +5.59%
+31.44% -15.20% +20.95% +13.15% Stocks, Disclosure S&P 500 +9.09% +24.83%
-17.96% +28.68% +10.96%

*The time period used in the calculation of the annualized returns vary by
portfolio and are displayed below. Comparable annualized returns for the S&P 500
are also shown below.



 


ZACKS RANK DISCLOSURE

Annualized returns are for January 1, 1988 through August 5, 2024. Comparable
annualized returns for the S&P 500 are +10.96%


HOW WAS THE RETURN OF THE ZACKS RANK #1 PORTFOLIO CALCULATED?

The performance reported in the table above is the equal weighted performance of
a hypothetical portfolio consisting of stocks with a Zacks Rank of #1 that was
rebalanced monthly or weekly from January 1988 through August 5, 2024.


MONTHLY AND WEEKLY PORTFOLIO RETURNS

The portfolio was rebalanced monthly from January 1988 through December 2013 and
weekly from 12/31/13 through Monday's open on August 5, 2024.


MONTHLY REBALANCING

For each stock with a Zacks Rank #1 at the beginning of the month, the total
return during the month was calculated as the % change in the price of the stock
from the closing price of the prior month to the closing price of the current
month plus any dividends received during the month. The monthly individual stock
returns were then averaged to determine the portfolio return for the month.
Weekly Rebalancing

For each stock with a Zacks Rank #1 at the beginning of the week, the total
return during the week was calculated as the % change in the price of the stock
from the opening price for the week to the opening price of the next week plus
any dividends received during the week. The weekly individual stock returns were
then averaged to determine the portfolio return for the week.

If no month-end price or week end open price was available for a stock, it was
not included in the portfolio return for the month or the week.


CALCULATION OF ANNUAL RETURNS

The monthly and weekly returns were compounded to arrive at the annual returns.


CALCULATION OF ANNUALIZED RETURNS

The annualized return is the annual return that, had it been achieved in each
year or portion of a year, would have compounded to create the total return over
the full time period.


RETURNS ARE NOT BASED ON A BACKTEST

These returns are not based on a backtest. They are based on the list of Zacks
Rank #1 Stocks that was available to clients of Zacks as of the beginning of the
month, when returns were calculated monthly, or as of the beginning of the week
when returns were calculated weekly.


THESE RETURNS ARE NOT ACHIEVABLE WITH ACTUAL PORTFOLIOS

These returns are higher than the returns an investor could achieve investing
real money in a portfolio of Zacks Rank #1 stocks because the returns of the
hypothetical Zacks Rank #1 portfolio exclude a number of costs, including
commissions incurred for trading, the average bid ask spread, the price impact
of the trading and, prior to 2013, in those months when the end of the month
fell on Friday, Saturday or Sunday, the overnight return from the month end
close to the open on the next trading day.


UNIVERSE OF COMPANIES

The universe of companies for which Zacks Rank #1 performance is reported has
changed over time. The portfolios of Zacks #1 Ranked stocks created monthly from
1988 through 1995 exclude ADRs, exclude Canadian companies trading only on
Canadian Exchanges, exclude companies trading on the OTC Bulletin Board and
exclude companies followed by only one analyst. From 1996 through 2007 the
portfolios exclude ADRs, exclude Canadian companies trading only on Canadian
exchanges and exclude companies trading on the OTC Bulletin Board, but include
companies followed by only one analyst. From 2008 and going forward the
portfolios are comprised of all stocks with the indicated Zacks Rank which is
more reflective of the list of stocks that customers will find on the Zacks
websites.


S&P COMPARABLE RETURNS

The S&P 500 is an unmanaged index. The annual S&P 500 returns in this table for
the years 2016, 17, 18 differ by +2.8%, -.4% and +.6% from the S&P 500 returns
shown on other web sites. The S&P 500 returns shown for these periods are total
returns of the IVV S&P 500 Index Fund and the returns are shown for 364 day
periods that begin at the first Monday open of each year for years 2016, 17 and
18. Similarly the S&P 500 returns for the months are IVV returns for the 28 or
35 day periods that begin at the open on the first Monday of each month.


INDEPENDENT CONFIRMATION

The Zacks Rank #1 performance schedule for the period from April 2, 2018 through
March 31, 2022 was examined by PKF Mueller, an independent accounting firm, who
concluded that the Zacks Rank #1 performance schedule is presented in accordance
with the criteria established by Zacks, in all material respects. The Zacks #1
Rank Performance from January 1, 1988 through Monday's open on April 2, 2018 was
examined and attested by Baker Tilly Virchow Krause, LLP, an independent
accounting firm.

 


FOCUS LIST DISCLOSURE

Annualized returns are for February 1, 1996 through YTD May 31, 2024. Comparable
annualized returns for the S&P 500 over this time period are +9.57% .

The performance of the Focus List for annual and year-to-date periods are the
linked monthly total returns (price changes + dividends) of equal weighted
hypothetical portfolios, rebalanced at the time a trade is made and assuming
zero transaction costs. These are not the returns of actual portfolios. The
hypothetical portfolios and changes to these portfolios are available to Zacks
Premium subscribers on the Zacks web site.

 


ZACKS METHOD FOR TRADING & RESEARCH WIZARD

Zacks Research Wizard contains numerous predefined stock screens and strategies
designed to help the individual investor beat the market on a consistent basis.
An investor could also create their own strategy and test its performance over
time. The results of a few of the predefined strategies are highlighted below.


ZACKS METHOD FOR TRADING & RESEARCH WIZARD

Method 2024*
Return 2023
Return 2022
Return 2021
Return 2020
Return 2019
Return Value Method1 +12.6% +30.5% +38.9% +95.3% +72.1% +16.4% Momentum Method1
+29.6% +27.5% -7.4% -0.8% +9.1% +51.8% Filtered Zacks Rank5 +9.0% +25.1% +15.6%
+48.2% +2.4% +44.6% Upgrades and Revisions3 +13.6% +30.0% -4.0% +67.6% +44.1%
+43.3% Big Money Zacks +13.7% +6.7% +5.6% +45.9% +8.6% +9.0% S&P 500 +11.6%
+26.2% -18.2% +28.8% +18.5% +32.6%

*Returns are through June 3, 2024.

"Indicates 1 week holding period.

 

The performance calculations for the Research Wizard strategies were produced
through the backtesting feature of the Research Wizard using the DBCMHIST
database and consist of the total return (price changes + dividends) of an equal
weighted portfolio. Returns are calculated on a specified periodic basis (most
often one or four weeks) and assume no transaction costs. The portfolio is
rebalanced at the start of each new period. Returns can be stated as either
annualized or compounded.

 

Stock trading/investing involves risk and you can lose some or all of your
investment. Hypothetical or backtested results may not always be duplicated in
the real world. Backtesting can at times produce an unintended look-ahead bias.
Results can also at times be over or understated due to the exclusion of
inactive companies. In addition, hypothetical trading does not involve financial
risk, and no hypothetical trading record can completely account for the impact
of financial risk in actual trading, not the least of which is the ability to
withstand losses or to adhere to a particular trading strategy in spite of
trading losses. These are material points which can also adversely affect actual
trading results. The backtested results prepared for the Zacks Method were done
using the DBCMHIST database and consisted of only active companies. The Research
Wizard program has been aligned, to the extent possible, to eliminate look-ahead
bias. Zacks however cannot make any guarantees in regard to this or any other
possible limitations.

 


POTENTIAL LIMITATIONS IN BACKTESTING

There are four types of biases that can distort your backtest results.

1. Look Ahead bias - this occurs when the stocks selected on a rank date use
financial information that was not available on that rank date. For example if a
company reports its financials for the quarter ending Mar 2006 on Apr 20, 2006,
the rank that is created at the end of the March 2006 quarter should not use the
financials for that quarter, since they were not available at the end of the
quarter. We have eliminated to the best of our ability all of the look ahead
bias from backtesting using the DBCMHIST database.

2. Restatement bias - this occurs when a company restates its historical
financials. For example if a company reports its 3/06 results and restates its
Dec 2005 results; a rank done as of end of Dec 2005 should use the originally
reported financials for Dec 2005, not the restated financials for Dec 2005 which
were not available until March 2003. We have eliminated to the best of our
ability all of the restatement bias from backtesting using the DBCMHIST
database.

3. Survivor bias - this occurs when stocks that have been delisted or acquired
are not included in the backtest results. Depending on your strategy, the impact
of survivor bias on your backtest may be significant. As of May, 2010, we have
eliminated to the best of our ability the survivorship bias from from Dec 17,
1999 to the present in the DBCMHIST database.

4. Split bias - this can occur if your screen uses price as a qualifier, e.g.,
Price > $5.00. The DBCMHIST database is split adjusted. So using the example
above, if the company had a stock split between the screened date and the date
of your backtest, the company may not be included in your backtest results if
the split adjustment caused the historical price at the date of the backtest to
be below that $5.00 threshold. Typically, stock splits occur at higher prices.
If a stock's price is an important part of your screen definition (and
backtesting), we suggest that you test your screen and vary the price limit to
see the impact on your results.


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ZACKS #1 RANK TOP MOVERS FOR SEP 20, 2024 ZACKS #1 RANK TOP MOVERS ZACKS #1 RANK
TOP MOVERS FOR 09/20/24

 

 * Value
 * Growth
 * Momentum
 * VGM
 * Income

Company Symbol Price %Chg Synchronoss... SNCR Quick QuoteSNCR 13.35 +5.04%
Sirius XM SIRI Quick QuoteSIRI 24.99 +4.04% Seanergy Ma... SHIP Quick QuoteSHIP
11.38 +4.02% Norwegian C... NCLH Quick QuoteNCLH 20.67 +2.28% Prog Holdin... PRG
Quick QuotePRG 49.89 +2.19%

Company Symbol Price %Chg Byrna Techn... BYRN Quick QuoteBYRN 16.43 +9.03%
Rockwell Me... RMTI Quick QuoteRMTI 4.38 +5.67% Synchronoss... SNCR Quick
QuoteSNCR 13.35 +5.04% Audioeye AEYE Quick QuoteAEYE 24.24 +3.46% Norwegian C...
NCLH Quick QuoteNCLH 20.67 +2.28%

Company Symbol Price %Chg Byrna Techn... BYRN Quick QuoteBYRN 16.43 +9.03%
Recruit Hol... RCRRF Quick QuoteRCRRF 63.68 +7.37% Synchronoss... SNCR Quick
QuoteSNCR 13.35 +5.04% Sirius XM SIRI Quick QuoteSIRI 24.99 +4.04% GDEV Inc.
GDEV Quick QuoteGDEV 27.40 +2.43%

Company Symbol Price %Chg Synchronoss... SNCR Quick QuoteSNCR 13.35 +5.04%
Sirius XM SIRI Quick QuoteSIRI 24.99 +4.04% Iamgold IAG Quick QuoteIAG 5.47
+3.01% Norwegian C... NCLH Quick QuoteNCLH 20.67 +2.28% Travelzoo TZOO Quick
QuoteTZOO 14.39 +2.13%

Company Symbol Price %Chg Sinclair, I... SBGI Quick QuoteSBGI 15.15 +7.75%
Sylvamo SLVM Quick QuoteSLVM 85.54 +4.18% Sirius XM SIRI Quick QuoteSIRI 24.99
+4.04% Tokyo Elect... TOELY Quick QuoteTOELY 84.24 +1.07% NexPoint Re... NREF
Quick QuoteNREF 15.40 +0.92%

View All Zacks #1 Rank VGM Stocks

View All Zacks #1 Rank VGM Stocks




ZACKS #1 RANK TOP MOVERS7/16

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morning. It's made up of the top 5% of stocks with the most potential. Each
weekday, you can quickly see the Zacks #1 Rank Top Movers from Value to Growth,
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Stocks with a Value, Growth, Momentum or Income Style Score of A or B. Plus, you
can see the Zacks #1 Rank Stocks with a VGM of A or B. You can also sort the
list with criteria you choose, view Additions and Deletions by day, and
Performance.

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