Sector Return Comevement - A5
Sector Return Comevement - A5
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When do sectors move together?
This visual maps quarterly returns across U.S. industry sectors from 2008 to 2025. Each row represents a sector, each column a year, and each dot a sector’s quarterly performance—blue for gains, red for losses. Most periods are dominated by blue, confirming that equity markets tend to rise over time in aggregate. However, during extreme episodes, sectors move more tightly together. Waves of uniform blue in boom phases and uniform red during crises such as 2008 reveal heightened comovement across industries.
Data & Method
Monthly value-weighted returns with dividends for 49 U.S. industry portfolios, 2008–2025, from the Kenneth R. French Data Library. Returns compounded quarterly. Excludes transaction costs, management fees, and taxes.
Product Specifications
Format: A5 (148 × 210 mm)
Orientation: Landscape
Paper: 350 g/m² uncoated paper
Printing: High-resolution digital print
Finish: Matte
Frame: Not included
Packaging: Flat protective sleeve
Production: Printed in France (Paris)
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