AInvest Newsletter
Daily stocks & crypto headlines, free to your inbox
On September 17, 2025, , ranking 347th in daily trading activity. , driven by sector-specific dynamics and market positioning amid broader economic developments.
Recent market analysis highlights Marsh’s exposure to evolving risk management frameworks as a key factor. Analysts noted that regulatory shifts in commercial insurance markets and demand for tailored risk solutions have positioned the company to benefit from industry consolidation trends. However, persistent pressure on underwriting margins due to competitive pricing remains a near-term concern for investors.
Strategic initiatives including digital transformation in claims processing and expanded partnerships with emerging technology providers were cited as catalysts for investor confidence. The firm’s third-quarter performance also reflected improved retention rates in its broker services division, which analysts view as a positive indicator of long-term stability.
To run this back-test accurately I need a few additional details (and your confirmation that the scope matches what you have in mind): 1. Market universe • Which exchange(s) should be scanned for the “top-500 by trading volume” list each day? (e.g., all U.S.-listed stocks, only the NYSE, only the Nasdaq,
.) 2. Rebalance / pricing convention • Do you want to buy at each day’s close and sell at the next day’s close? • Or use open-to-close, close-to-open, etc.? 3. Transaction costs & slippage • Should we assume zero trading costs, or apply a commission/slippage estimate? • If you have a preferred assumption, please specify. 4. ? ? Once I have these details I can construct the daily portfolio, generate the entry/exit signals, .
Hunt down the stocks with explosive trading volume.

Dec.05 2025

Dec.05 2025

Dec.05 2025

Dec.05 2025

Dec.05 2025
Daily stocks & crypto headlines, free to your inbox
Comments
No comments yet