Sector · serious

Healthcare & Pharma

Pharma tickers, healthcare ETFs, TRI pharma releases.

Pharma and healthcare tickers (UNH, Pfizer, AbbVie, Eli Lilly, Merck), the XLV healthcare ETF, plus EPA / TRI chemical-release data for pharma manufacturers as a production proxy. Healthcare runs counter-cyclical to broader macro, so this sector often signals divergence at recession-onset.
Analyst · previewYou're seeing the public read on the Healthcare & Pharma sector. Analyst unlocks the full firing history for every indicator here + alerts when a roster ticker breaks out + the roster past the top 12 by market cap. Trader adds intraday quotes across the whole roster + the cross-sector co-fire matrix + the API / MCP feed.Compare tiers →
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Flagship signals

StandardequitiesSP-3079

XLV Healthcare ETF

163.4 6%vs ~6 weeks ago
Healthcare SPDR — pharma + biotech + insurers + devices. Broader than UNH alone.
last fired 3 weeks ago

Historically barely better than chance over the next year.

Signature window1 yr
+0.55%SPY 1 wk into the 1 yr window so far
OPPOSITE OF HISTORY
49%
−0.04%
1 d
49%
−0.13%
1 wk
50%
−0.12%
1 mo
49%
−0.37%
3 mo
50%
−0.34%
6 mo
51%
−0.13%
1 yr
StandardequitiesSP-1458

UnitedHealth Group

417.6 3%vs ~6 weeks ago
Biggest US health insurer. Pricing power = consumer cost forecast.
last fired 1.1 years ago

Historically barely better than chance over the next trading day.

Signature window1 yr(cell shown is 1 d — Analyst tier shows the precise horizon)
−1.0%SPY over the 1 d after the last fire
49%
−0.04%
1 d
49%
−0.08%
1 wk
49%
−0.11%
1 mo
49%
−0.21%
3 mo
50%
−0.01%
6 mo
51%
−0.01%
1 yr
Standardindustrial_pulseSP-3134

Pfizer Hazardous Waste Tonnage

0.36 99%vs ~6 weeks ago
Monthly hazardous waste from Pfizer US plants. Vaccine + small-molecule production.

Historically barely better than chance over the next trading day.

Signature window3 mo(cell shown is 1 d — Analyst tier shows the precise horizon)
50%
1 d
50%
1 wk
50%
1 mo
50%
3 mo
50%
6 mo
50%
1 yr

All healthcare & pharma indicators