The South Korean market faces significant selling pressure across most sectors, contrasted by a mixed-to-positive performance in US large-caps. Investors are rotating away from broad KR cyclicals, while US semi-conductors and big tech maintain resilience amid volatility.
Korean Blue-Chip TOP 30 Signals — May 15, 2026
| # | Stock | Price | 1d(%) | 1mo(%) | 52wPos | Signal | Rationale |
|---|---|---|---|---|---|---|---|
| 1 | Samsung Electronics 005930.KS |
272,500 KRW | -7.94% | +29.15% | 89.0% | 🟡 Neutral | Strong 1mo performance, s |
| 2 | SK Hynix 000660.KS |
1,837,000 KRW | -6.75% | +61.71% | 91.3% | 🟡 Neutral | Analyzing data |
| 3 | LG Energy Solution 373220.KS |
417,000 KRW | -5.66% | +2.21% | 57.9% | 🔵 Reduce | Persistent downward momen |
| 4 | Samsung Biologics 207940.KS |
1,418,000 KRW | -2.14% | -11.49% | 5.2% | 🔴 Buy | Extreme oversold territor |
| 5 | Hyundai Motor 005380.KS |
700,000 KRW | -1.69% | +37.80% | 94.6% | 🟡 Neutral | Strong momentum but neari |
| 6 | Kia 000270.KS |
168,900 KRW | -5.17% | +11.49% | 65.5% | 🔵 Reduce | Downward trend, weak rela |
| 7 | POSCO Holdings 005490.KS |
467,500 KRW | -3.91% | +27.04% | 76.1% | 🟡 Neutral | High volatility, consolid |
| 8 | Celltrion 068270.KS |
188,800 KRW | -3.23% | -6.53% | 41.5% | 🔵 Reduce | Laggard performance in cu |
| 9 | Samsung SDI 006400.KS |
618,000 KRW | -2.83% | +31.21% | 81.4% | 🟡 Neutral | Stable, tracking sector s |
| 10 | LG Chem 051910.KS |
372,000 KRW | -5.22% | +5.08% | 74.4% | 🔵 Reduce | Momentum stalling after m |
| 11 | KB Financial 105560.KS |
155,100 KRW | -0.58% | -1.25% | 78.2% | 🟡 Neutral | Defensive, holding value |
| 12 | Shinhan Financial 055550.KS |
94,300 KRW | -2.58% | -4.81% | 77.0% | 🔵 Reduce | Negative monthly trend, l |
| 13 | Kakao 035720.KS |
43,900 KRW | -4.46% | -11.49% | 21.5% | 🔴 Buy | Deeply oversold, attracti |
| 14 | NAVER 035420.KS |
203,500 KRW | -4.46% | -3.55% | 19.7% | 🔴 Buy | Significant discount from |
| 15 | SK Telecom 017670.KS |
101,100 KRW | -1.56% | +3.06% | 88.0% | 🟡 Neutral | Defensive play, consisten |
| 16 | Hana Financial 086790.KS |
119,400 KRW | -5.61% | -0.52% | 79.2% | 🔵 Reduce | Weak technicals, downward |
| 17 | Hyundai Mobis 012330.KS |
633,000 KRW | -2.62% | +52.35% | 87.9% | 🟡 Neutral | Outperformer, currently u |
| 18 | LG Electronics 066570.KS |
241,500 KRW | +11.29% | +97.63% | 110.9% | 🔵 Reduce | Extreme overextension, po |
| 19 | KEPCO 015760.KS |
38,750 KRW | -2.27% | -12.63% | 28.2% | 🔴 Buy | Deep discount, contrarian |
| 20 | SK Innovation 096770.KS |
123,500 KRW | -2.53% | +1.56% | 57.2% | 🟡 Neutral | Range-bound, lack of clea |
| 21 | KT&G 033780.KS |
179,000 KRW | -5.29% | +5.05% | 85.8% | 🟡 Neutral | Stable yield, defensive p |
| 22 | EcoPro BM 247540.KS |
209,000 KRW | +6.04% | +3.21% | 71.5% | 🔴 Buy | Strong relative strength, |
| 23 | Korea Zinc 010130.KS |
1,422,000 KRW | -5.89% | -14.34% | 47.9% | 🔵 Reduce | Downwards trend, poor tec |
| 24 | Samsung C&T 028260.KS |
396,500 KRW | -10.29% | +28.94% | 76.8% | 🟡 Neutral | Sharp daily correction, t |
| 25 | HD Korea Shipbuilding 009540.KS |
415,000 KRW | -5.14% | +3.36% | 63.4% | 🔵 Reduce | Losing upward steam, prof |
| 26 | Doosan Enerbility 034020.KS |
110,800 KRW | -5.38% | +6.33% | 73.5% | 🟡 Neutral | Solid core, currently con |
| 27 | KT Corp 030200.KS |
58,400 KRW | -5.19% | -9.32% | 48.4% | 🔵 Reduce | Negative technical moment |
| 28 | Samsung Life Insurance 032830.KS |
310,000 KRW | -6.06% | +20.16% | 90.3% | 🟡 Neutral | Strong 1mo, minor technic |
| 29 | Woori Financial 316140.KS |
31,300 KRW | -1.57% | -10.87% | 56.9% | 🔵 Reduce | Lagging sector performanc |
| 30 | SK Corp 034730.KS |
502,000 KRW | -7.21% | +35.86% | 78.9% | 🟡 Neutral | Significant 1mo gain, hea |
US Blue-Chip TOP 30 Signals — May 15, 2026
| # | Stock | Price | 1d(%) | 1mo(%) | 52wPos | Signal | Rationale |
|---|---|---|---|---|---|---|---|
| 1 | Apple AAPL |
$298.21 | -0.22% | +12.03% | 97.5% | 🟡 Neutral | Consolidated gains, stabl |
| 2 | Microsoft MSFT |
$409.43 | +1.04% | -0.44% | 26.7% | 🔴 Buy | Deeply oversold, strong f |
| 3 | NVIDIA NVDA |
$235.74 | +4.39% | +18.54% | 99.3% | 🟡 Neutral | Momentum play, nearing 52 |
| 4 | Amazon AMZN |
$267.22 | -1.08% | +7.53% | 86.3% | 🟡 Neutral | Steady growth, strong mar |
| 5 | Alphabet GOOGL |
$401.07 | -0.38% | +18.97% | 98.9% | 🟡 Neutral | Near 52w highs, slight pr |
| 6 | Meta META |
$618.43 | +0.29% | -7.91% | 35.6% | 🔴 Buy | Correction provides bette |
| 7 | Tesla TSLA |
$443.30 | -0.44% | +13.10% | 75.4% | 🟡 Neutral | Volatility high, maintain |
| 8 | Berkshire B BRK-B |
$484.06 | -0.30% | +2.10% | 46.8% | 🟡 Neutral | Defensive anchor, lack of |
| 9 | JPMorgan JPM |
$299.91 | -0.11% | -1.97% | 54.0% | 🟡 Neutral | Stagnant trend, defensive |
| 10 | Visa V |
$322.52 | +0.69% | +2.30% | 35.1% | 🔴 Buy | Oversold, potential for m |
| 11 | J&J JNJ |
$230.80 | +0.16% | -3.30% | 79.6% | 🟡 Neutral | Defensive positioning, st |
| 12 | ExxonMobil XOM |
$152.78 | +0.80% | +2.53% | 68.6% | 🟡 Neutral | Energy sector volatility |
| 13 | UnitedHealth UNH |
$399.09 | -0.52% | +27.08% | 97.0% | 🟡 Neutral | Strong performance, momen |
| 14 | Mastercard MA |
$489.94 | -0.14% | -5.77% | 7.8% | 🔴 Buy | Technical oversold, value |
| 15 | P&G PG |
$142.71 | +0.33% | +0.28% | 15.3% | 🔵 Reduce | Lacks growth, stagnant mo |
| 16 | Home Depot HD |
$304.35 | +0.59% | -10.20% | 4.0% | 🔴 Buy | Extreme discount, deep va |
| 17 | Chevron CVX |
$186.64 | +0.34% | +0.94% | 65.3% | 🟡 Neutral | Stable energy sector expo |
| 18 | Eli Lilly LLY |
$1,006.70 | -0.89% | +11.23% | 75.1% | 🟡 Neutral | Steady growth, solid fund |
| 19 | AbbVie ABBV |
$210.77 | +1.09% | +1.13% | 47.3% | 🟡 Neutral | Balanced risk-reward prof |
| 20 | Costco COST |
$1,041.25 | +0.79% | +5.89% | 88.4% | 🟡 Neutral | Premium valuation, strong |
| 21 | Netflix NFLX |
$86.94 | -0.71% | -19.28% | 20.2% | 🔴 Buy | Oversold, high risk-rewar |
| 22 | Broadcom AVGO |
$439.79 | +5.52% | +10.86% | 98.8% | 🟡 Neutral | Strong momentum, near 52w |
| 23 | Salesforce CRM |
$167.58 | +1.05% | -5.64% | 3.2% | 🔴 Buy | Deeply discounted, potent |
| 24 | AMD AMD |
$449.70 | +0.94% | +74.22% | 94.6% | 🟡 Neutral | Strong 1mo surge, consoli |
| 25 | Intel INTC |
$115.93 | -3.62% | +78.52% | 85.2% | 🟡 Neutral | Massive monthly gains, vo |
| 26 | PayPal PYPL |
$45.04 | -0.42% | -9.14% | 16.0% | 🔴 Buy | Deeply discounted, potent |
| 27 | Walmart WMT |
$132.46 | +0.75% | +6.37% | 94.6% | 🟡 Neutral | Strong trend, defensive r |
| 28 | Disney DIS |
$105.42 | +0.50% | +2.31% | 40.7% | 🟡 Neutral | Range-bound, improving re |
| 29 | Boeing BA |
$229.21 | -4.73% | +2.36% | 67.6% | 🔵 Reduce | Technical trend deteriora |
| 30 | Adobe ADBE |
$237.01 | +0.40% | -3.13% | 6.5% | 🔴 Buy | Significant discount, con |
Today's Top 3 Spotlight Picks
LG Electronics: The stock shows massive 1mo strength at +97.63% and a 1d gain of 11.29%, indicating extreme institutional demand. However, the 110.9% 52w position suggests overextension, requiring cautious entry.
NVIDIA: Continues to lead AI sector momentum with an 18.54% 1mo gain and near-record highs. Its resilience during broad tech volatility makes it a primary signal for trend-following strategies.
Home Depot: Currently trading at a 4.0% 52w position, representing deep value in the US market. The recent 10.20% 1mo decline presents a potential long-term entry point for value-oriented portfolios.
Signal Tally: 🔴 Buy 14 / 🟡 Neutral 34 / 🔵 Reduce 13 (KR + US combined)
This post is for informational purposes only. All investment decisions are your sole responsibility.
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