Weekly equity research ยท Mexico

Momentum Intelligence

Strength that extends beyond one good week.

Find positive momentum shared across time periods, then weigh the consistency of the rise against its volatility.

Week ending25 Sep 2026Latest complete country edition
Eligible equities625Complete price and risk profiles
Broad & orderly84Meet the default screening criteria
All four horizons positive80Returns above +1% at every horizon

Participation across time ยท full MX equity edition

How widely is momentum shared?

Compare the share advancing over each horizon. Short-term strength with weak longer horizons points to a recovery still finding support.

Positive ยท above +1%Flat ยท within ยฑ1%Negative ยท below โˆ’1%
1 month32%positive
3 months44%positive
6 months51%positive
12 months50%positive
View participation counts
HorizonPositiveFlatNegative
1 month201147277
3 months27266287
6 months31826281
12 months31411300
211 of 625 equities have at least three positive horizons.The typical annualised weekly volatility is 34.9%. A strong return and a smooth journey are different things.

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Mexico ยท 25 Sep 2026

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84 matches ยท showing 1โ€“30Momentum strength ยท highest strength first by default
EquityMomentum strengthPrice returnsPath & agreementRisk context
1
ILMN Illumina, Inc.MEX ยท HealthcareWeekly chart โ†—
99.6 /100Broad & orderly
1m+31.7%
3m+71.1%
6m+125.2%
12m+166.1%
Price change ยท MXN
Orderly4 of 4 horizons positive100% path efficiency ยท 4 of 13 weeks up 41.1%Annualised weekly volatility0.0%From 52-week closing high
2
LASITE Sitios Latinoamรฉrica, S.A.B. de C.V.MEX ยท IndustrialsWeekly chart โ†—
98.0 /100Broad & orderly
1m+2.9%
3m+43.7%
6m+32.1%
12m+73.9%
Price change ยท MXN
Orderly4 of 4 horizons positive99% path efficiency ยท 12 of 13 weeks up 26.4%Annualised weekly volatility0.0%From 52-week closing high
3
MET MetLife, Inc.MEX ยท Financial ServicesWeekly chart โ†—
95.0 /100Broad & orderly
1m+3.3%
3m+14.7%
6m+38.5%
12m+17.2%
Price change ยท MXN
Orderly4 of 4 horizons positive94% path efficiency ยท 5 of 13 weeks up 15.7%Annualised weekly volatility0.0%From 52-week closing high
4
IQV IQVIA Holdings Inc.MEX ยท HealthcareWeekly chart โ†—
94.9 /100Broad & orderly
1m+2.9%
3m+52.9%
6m+55.4%
12m+33.2%
Price change ยท MXN
Orderly4 of 4 horizons positive100% path efficiency ยท 6 of 13 weeks up 34.4%Annualised weekly volatility0.0%From 52-week closing high
5
MPC Marathon Petroleum CorporationMEX ยท EnergyWeekly chart โ†—
93.9 /100Broad & orderly
1m+12.5%
3m+57.0%
6m+54.4%
12m+120.1%
Price change ยท MXN
Orderly4 of 4 horizons positive86% path efficiency ยท 8 of 13 weeks up 48.6%Annualised weekly volatility-3.3%From 52-week closing high
6
OKTA Okta, Inc.MEX ยท TechnologyWeekly chart โ†—
93.5 /100Broad & orderly
1m+20.9%
3m+74.8%
6m+152.0%
12m+107.7%
Price change ยท MXN
Orderly4 of 4 horizons positive90% path efficiency ยท 5 of 13 weeks up 70.7%Annualised weekly volatility0.0%From 52-week closing high
7
BBVA Banco Bilbao Vizcaya Argentaria, S.A.MEX ยท Financial ServicesWeekly chart โ†—
91.9 /100Broad & orderly
1m+3.9%
3m+21.5%
6m+38.2%
12m+46.4%
Price change ยท MXN
Orderly4 of 4 horizons positive68% path efficiency ยท 9 of 13 weeks up 22.0%Annualised weekly volatility0.0%From 52-week closing high
8
VLO Valero Energy CorporationMEX ยท EnergyWeekly chart โ†—
91.4 /100Broad & orderly
1m+11.5%
3m+48.1%
6m+43.4%
12m+107.9%
Price change ยท MXN
Orderly4 of 4 horizons positive76% path efficiency ยท 9 of 13 weeks up 44.6%Annualised weekly volatility-6.0%From 52-week closing high
9
INVEXA INVEX Controladora, S.A.B. de C.V.MEX ยท Financial ServicesWeekly chart โ†—
90.3 /100Broad & orderly
1m0.0%
3m+4.6%
6m+10.1%
12m+16.2%
Price change ยท MXN
Orderly3 of 4 horizons positive100% path efficiency ยท 1 of 13 weeks up 8.7%Annualised weekly volatility0.0%From 52-week closing high
10
FINAMEXO Casa de Bolsa Finamex S.A.B. de C.V.MEX ยท Financial ServicesWeekly chart โ†—
90.2 /100Broad & orderly
1m+5.4%
3m+4.4%
6m+15.5%
12m+49.3%
Price change ยท MXN
Orderly4 of 4 horizons positive70% path efficiency ยท 2 of 13 weeks up 9.8%Annualised weekly volatility0.0%From 52-week closing high
11
BAYNN Bayer AktiengesellschaftMEX ยท HealthcareWeekly chart โ†—
89.6 /100Broad & orderly
1m0.0%
3m+17.1%
6m+16.7%
12m+48.3%
Price change ยท MXN
Orderly3 of 4 horizons positive100% path efficiency ยท 1 of 13 weeks up 21.9%Annualised weekly volatility-2.6%From 52-week closing high
12
HBCN HSBC Holdings plcMEX ยท Financial ServicesWeekly chart โ†—
87.8 /100Broad & orderly
1m+0.3%
3m+9.3%
6m+25.4%
12m+47.0%
Price change ยท MXN
Orderly3 of 4 horizons positive90% path efficiency ยท 6 of 13 weeks up 20.3%Annualised weekly volatility0.0%From 52-week closing high
13
IDRN Indra Sistemas, S.A.MEX ยท TechnologyWeekly chart โ†—
87.8 /100Broad & orderly
1m+6.2%
3m+24.8%
6m+15.4%
12m+38.5%
Price change ยท MXN
Orderly4 of 4 horizons positive96% path efficiency ยท 4 of 13 weeks up 34.5%Annualised weekly volatility-8.0%From 52-week closing high
14
MRNA Moderna, Inc.MEX ยท HealthcareWeekly chart โ†—
87.6 /100Broad & orderly
1m+50.2%
3m+202.1%
6m+290.3%
12m+688.2%
Price change ยท MXN
Orderly4 of 4 horizons positive56% path efficiency ยท 8 of 13 weeks up 134.6%Annualised weekly volatility0.0%From 52-week closing high
15
TX Ternium S.A.MEX ยท Basic MaterialsWeekly chart โ†—
87.5 /100Broad & orderly
1m+5.2%
3m+26.6%
6m+41.7%
12m+54.0%
Price change ยท MXN
Orderly4 of 4 horizons positive50% path efficiency ยท 7 of 13 weeks up 27.0%Annualised weekly volatility-1.9%From 52-week closing high
16
TMO Thermo Fisher Scientific Inc.MEX ยท HealthcareWeekly chart โ†—
86.5 /100Broad & orderly
1m+11.9%
3m+33.6%
6m+35.8%
12m+39.7%
Price change ยท MXN
Orderly4 of 4 horizons positive69% path efficiency ยท 7 of 13 weeks up 38.6%Annualised weekly volatility0.0%From 52-week closing high
17
ALPEKA ALPEK, S.A.B. de C.V.MEX ยท Basic MaterialsWeekly chart โ†—
86.5 /100Broad & orderly
1m+21.0%
3m+18.9%
6m+35.7%
12m+58.0%
Price change ยท MXN
Orderly4 of 4 horizons positive53% path efficiency ยท 6 of 13 weeks up 28.5%Annualised weekly volatility-0.7%From 52-week closing high
18
DE Deere & CompanyMEX ยท IndustrialsWeekly chart โ†—
85.9 /100Broad & orderly
1m+12.9%
3m+21.9%
6m+21.9%
12m+44.8%
Price change ยท MXN
Orderly4 of 4 horizons positive57% path efficiency ยท 7 of 13 weeks up 26.2%Annualised weekly volatility0.0%From 52-week closing high
19
PBF PBF Energy Inc.MEX ยท EnergyWeekly chart โ†—
85.7 /100Broad & orderly
1m+2.5%
3m+68.9%
6m+38.0%
12m+102.9%
Price change ยท MXN
Orderly4 of 4 horizons positive68% path efficiency ยท 9 of 13 weeks up 59.3%Annualised weekly volatility-5.7%From 52-week closing high
20
NEO NeoGenomics, Inc.MEX ยท HealthcareWeekly chart โ†—
85.7 /100Broad & orderly
1m+68.4%
3m+68.4%
6m+36.6%
12m+48.5%
Price change ยท MXN
Orderly4 of 4 horizons positive100% path efficiency ยท 1 of 13 weeks up 77.5%Annualised weekly volatility0.0%From 52-week closing high
21
DELLC Dell Technologies Inc.MEX ยท TechnologyWeekly chart โ†—
85.0 /100Broad & orderly
1m+29.0%
3m+47.7%
6m+216.5%
12m+319.9%
Price change ยท MXN
Orderly4 of 4 horizons positive42% path efficiency ยท 10 of 13 weeks up 76.0%Annualised weekly volatility0.0%From 52-week closing high
22
ROKU Roku, Inc.MEX ยท Communication ServicesWeekly chart โ†—
84.5 /100Broad & orderly
1m+3.4%
3m+13.8%
6m+57.1%
12m+48.9%
Price change ยท MXN
Orderly4 of 4 horizons positive53% path efficiency ยท 6 of 13 weeks up 30.9%Annualised weekly volatility0.0%From 52-week closing high
23
SHELN Shell plcMEX ยท EnergyWeekly chart โ†—
84.3 /100Broad & orderly
1m+11.4%
3m+16.0%
6m+26.6%
12m+26.4%
Price change ยท MXN
Orderly4 of 4 horizons positive72% path efficiency ยท 5 of 13 weeks up 30.5%Annualised weekly volatility0.0%From 52-week closing high
24
TEAM Atlassian CorporationMEX ยท TechnologyWeekly chart โ†—
84.1 /100Broad & orderly
1m+20.3%
3m+152.3%
6m+181.1%
12m+13.1%
Price change ยท MXN
Orderly4 of 4 horizons positive73% path efficiency ยท 10 of 13 weeks up 90.0%Annualised weekly volatility0.0%From 52-week closing high
25
AAPL Apple Inc.MEX ยท TechnologyWeekly chart โ†—
82.9 /100Broad & orderly
1m+10.7%
3m+21.4%
6m+33.9%
12m+28.7%
Price change ยท MXN
Orderly4 of 4 horizons positive43% path efficiency ยท 9 of 13 weeks up 26.5%Annualised weekly volatility0.0%From 52-week closing high
26
KO The Coca-Cola CompanyMEX ยท Consumer DefensiveWeekly chart โ†—
82.7 /100Broad & orderly
1m+2.4%
3m+8.7%
6m+14.7%
12m+28.8%
Price change ยท MXN
Orderly4 of 4 horizons positive39% path efficiency ยท 8 of 13 weeks up 15.2%Annualised weekly volatility0.0%From 52-week closing high
27
PASAB Promotora Ambiental, S.A.B. de C.V.MEX ยท IndustrialsWeekly chart โ†—
82.7 /100Broad & orderly
1m+5.0%
3m+5.0%
6m+8.4%
12m+10.5%
Price change ยท MXN
Orderly4 of 4 horizons positive49% path efficiency ยท 2 of 13 weeks up 9.3%Annualised weekly volatility0.0%From 52-week closing high
28
FNOVA17 Fibra NovaMEX ยท Real EstateWeekly chart โ†—
82.6 /100Broad & orderly
1m0.0%
3m+2.3%
6m+2.3%
12m+6.8%
Price change ยท MXN
Orderly3 of 4 horizons positive100% path efficiency ยท 1 of 13 weeks up 5.4%Annualised weekly volatility0.0%From 52-week closing high
29
BFSAN Befesa S.A.MEX ยท IndustrialsWeekly chart โ†—
82.2 /100Broad & orderly
1m+5.3%
3m+20.8%
6m+12.7%
12m+21.7%
Price change ยท MXN
Orderly4 of 4 horizons positive100% path efficiency ยท 2 of 13 weeks up 42.3%Annualised weekly volatility0.0%From 52-week closing high
30
INCY Incyte CorporationMEX ยท HealthcareWeekly chart โ†—
81.9 /100Broad & orderly
1m-0.9%
3m+25.5%
6m+20.6%
12m+29.9%
Price change ยท MXN
Orderly3 of 4 horizons positive82% path efficiency ยท 2 of 13 weeks up 31.2%Annualised weekly volatility-0.9%From 52-week closing high

Strength scores use the full eligible Mexico equity edition, so changing a filter does not change a stockโ€™s score. Returns exclude dividends. Listing country does not establish business exposure.

A transparent ranking

Strong returns, with context

60% ยท Adjusted strength

Three-, six- and twelve-month log returns are divided by weekly volatility scaled to each horizon. Each is ranked within the countryโ€™s complete equity edition, then the three percentile ranks are averaged. Ties share a rank.

20% ยท Horizon agreement

Each of the four returns above +1% contributes five points. The default leader screen requires at least three positive horizons, a three-month return above +1% and a one-month return no lower than โˆ’1%.

20% ยท Path quality

Over thirteen weeks, net log-price progress is divided by total absolute weekly movement. A more direct path scores higher. The leader screen requires at least 35% efficiency; direction is checked separately.

Risk remains visible

Volatility uses the latest 26 weekly log returns, annualised. A 5% floor is used only in the ranking denominator. The displayed volatility is unchanged. Drawdown measures the distance from the 52-week closing high.

Coverage, publication and limitations

These weights are an explicit research ranking, not a fitted prediction, validated strategy or probability of success. Horizons overlap and are not independent evidence. Large returns may still be stretched; low volatility does not guarantee safety. The ranking does not filter for liquidity or company fundamentals.

Active equity listings use saved, complete weekly Momentum Intelligence profiles. Incomplete, inconsistent or non-finite inputs are excluded, never filled with zero. Cross-listings are separate observations; returns are in each listingโ€™s currency and exclude dividends, fees and taxes. Weekly replacements become visible only when complete; the previous edition stays available with its date.

Published 27 Sep 2026, 23:51 BST ยท 625 eligible equity profiles in this screen.

Evidence context