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IND002Factor HubIndustry FactorsMedium

Industry Valuation Factor

Sector-level multiple percentiles — cheap sectors mean-revert.

Formula

行业估值 = 行业PE当前值 / 行业PE历史中位数

Performance (Top-30 equal-weight long, monthly rebalance)

Annualized return
9.47%
Sharpe ratio
0.60
Max drawdown
-25.69%
Total return
147.21%
Cumulative performance(2016-09 … 2026-08)
2016 -7.6%2017 -6.7%2018 +4.2%2019 +11.1%2020 +31.2%2021 +6.8%2022 +37.3%2023 -3.4%2024 +4.3%2025 +21.9%2026 +4.8%

Current top-30 holdings

#TickerCompanyScore
1MARMarriott International191.508
2DHID.R. Horton26.579
3LENLennar26.579
4NUENucor19.429
5STLDSteel Dynamics19.429
6URIUnited Rentals15.250
7PGRProgressive7.620
8CBChubb7.620
9METMetLife7.620
10PRUPrudential Financial7.620
11AIGAmerican Intl Group7.620
12ALLAllstate7.620
13TRVTravelers7.620
14ENTGEntegris6.574
15ADPADP6.246
16ADMArcher-Daniels-Midland4.372
17ROKURoku4.338
18LULULululemon Athletica3.970
19ALBAlbemarle3.614
20MDLZMondelez3.058
21GISGeneral Mills3.058
22SJMJ.M. Smucker3.058
23HSYHershey3.058
24TSNTyson Foods3.058
25KHCKraft Heinz3.058
26DALDelta Air Lines2.589
27UALUnited Airlines2.589
28ULTAUlta Beauty1.650
29GMEGameStop1.650
30PSAPublic Storage1.105

Holdings computed by the exact formula above at the latest month-end observation on the deterministic research panel (2026-08).

Data export

Exports include formulas, performance statistics, the 120-month series and current holdings — everything needed to replicate results locally.

Use in strategy backtestOpen in Factor Hub

Related factors

Factors are implemented exactly as published. Scores are computed on the platform deterministic research panel (263 stocks, daily OHLCV + quarterly fundamentals); Top-30 equal-weight, monthly rebalance — zero simplification.