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JULY 20, 2001

S&P SECTOR SCORECARD

Sector: Consumer Staples
Performances and investment outlooks for the Consumer Staples sector and its industries.




Sector/
Industry
Index Value % of S&P 1500 % Price Change For Rankings
5 (Best) –
1 (Worst)  
1 Wk 13 Wks YTD '00 5 Yrs. Relative Strength STARS
Consumer Staples 212.4 7.4 2.0 2.9 –10.2 14.6 7.4 3 3.6
Agricultural Products 253.9 0.1 –2 15.8 –6.8 23.4 10.3 3 3.0
Brewers 325.7 0.3 0.8 6.1 –6 27.7 17.7 3 5.0
Distillers & Vintners 197.7 0.1 0.7 16.4 10.6 12.1 11.9 3 3.6
Drug Retail 371.0 0.4 4.0 –22.2 –24.4 38.8 22.6 2 3.0
Food Distributors 337.8 0.2 0.3 12.3 6.4 46.3 24.7 4 3.0
Food Retail 198.3 0.5 8.0 –0.6 –9.5 31.0 6.4 3 3.4
Household Products 231.8 1.3 1.6 8.5 –13.3 –17.3 10.2 3 3.6
Meat Poultry & Fish 130.3 0.1 3.2 10.1 0.7 7.3 1.3 3 3.0
Packaged Foods 190.2 1.4 2.5 7.8 –3.8 21.0 8.6 3 3.3
Personal Products 169.0 0.4 2.7 14.1 –12 –1.1 2.6 3 3.0
Soft Drinks 203.7 1.6 0.1 1.9 –18.8 13.3 2.6 2 3.7
Tobacco 223.4 0.9 2.4 –2.5 4.8 86.4 5.7 3 3.9
Sector STARS: The weighted averages of company STARS in the sector or industry. A higher number is better: 5= Buy, 4= Accumulate, 3= Hold, 2= Avoid, 1= Sell.
Relative Strength: The index's 6-month price performance versus other sectors or sub-industries. 5=Top 10%, 4=Next 20%, 3=Middle 40%, 2=Next 20%, 1=Bottom 10%.

The Relative Strength Graph represents the sector's 52-week price performance vs. that of the S&P 1500 Super Composite. If the purple line moves below 100, the sector is underperforming the market, and if it moves above 100, the sector Is outperforming the market.

The S&P 1500 Super Composite normalized at 100

The sector's 52-week price performance

The relative-strength trend line over the last 200 days




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