Pair detail
IQV / TECH
Market: SPY | As of Jun 01, 2026 | Source: live
Pair overview
Bias uses the latest z-score sign (positive → short A / long B).
| Bias | Symbol | Company | Sector / Industry | Market cap USD | Last Close | Div Yield |
|---|---|---|---|---|---|---|
| Long | IQV | IQVIA Holdings Inc. | Healthcare · Medical - Diagnostics & Research | 31.2B | $186.82 | 0.00% |
| Short | TECH | Bio-Techne Corporation | Healthcare · Biotechnology | 8.0B | $50.79 | 0.63% |
Key metrics
Decision signals
Entry, sizing, and stability anchors for the trade.
-0.47
0.802
0.59
28.5
0.081
Neutral
z = -0.47?Current standardized spread. Positive means A rich vs B; negative means A cheap vs B.Backtest
Historical performance
Rule-based outcomes over the lookback window.
Backtest reality check
Historical trade outcomes using the entry/exit rules.
Backtest trades
Showing 1 of 1| Entry | Exit | Side | Hold | Net |
|---|---|---|---|---|
| 2026-02-13 | 2026-05-06 | Long IQV / Short TECH | 82d | +22.47% |
Charts
Behavior over time
Price, spread, and hedged path context.
Z-score
Z-score trajectory with entry/exit bands.
Leg prices (normalized)
Relative move of each leg across the window.
Chart window: 90d
Normalized to 100 at window start.
Hedged position
Hedged spread with entry-zone shading.
Chart window: 90d
Spread = A - (alpha + gamma · B)
Model diagnostics
Spread mechanics
Helpful for validation and monitoring.
146.0756
Price-space spread
-0.047509
Market-neutral residual spread
0.0536
OLS intercept on residualized returns
0.141
Stability (21d rolling)
Window 252d
Z-score distribution
Entry |z| ≥ 2.0 · Exit |z| ≤ 0.5
Risk & invalidation
Z-score context
Quality score
Composite of cointegration, stability, and mean reversion signals.
Model transparency
Regression uses OLS on market-neutral residual returns. ADF test is applied to the residual spread series.