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cGroup: Volatility(VIX)

     Description (show/hide)
Funds are assigned to the Volatility cGroup when the fund is based on a market volatility measure. Performance numbers are current with the site. For more information about Correlated Groups see the bottom of the Performance by Correlated Group page.


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Short Funds
Leveraged Funds
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Data Timeliness



Check desired symbols for Comparison Chart or to View Correlations.
 
Viewing Friday's Closing data.

NameSymbolRSfRtn-1dRtn-5dRtn-1moRtn-3moRtn-6moRtn-1yr$vol-21
popupREX VolMAXX Long VIX Weekly Futures Strategy ETFVMAX70.36-0.430.980.23-16.0156.15-20.5643k
popupiPath S&P 500 VIX Mid-Term Futures ETNVXZ8.290.501.76-0.17-13.305.85-16.921m
popupVelocityShares Daily Long VIX Medium-Term ETNVIIZ8.230.521.98-0.10-13.495.60-16.84467k
popupProShares VIX Mid-Term Futures ETF VIXM8.090.231.89-0.14-13.405.48-17.32452k
popupIPATH S&P 500 DYNAMIC VIX ETNXVZ4.410.001.030.38-5.06-17.79-22.88132k
popupiPath S&P 500 VIX Short-Term Futures ETNVXX4.150.45-0.38-2.15-26.0916.82-30.931b
popupVelocityShares Long VIX Short Term ETN VIIX4.080.30-0.38-2.44-26.2316.68-30.893m
popupProShares VIX Short-Term Futures ETF VIXY4.010.35-0.42-2.38-26.3815.95-31.4752m
8 symbols listed

The dynamics of Relative Strength are illustraded below for the past quarter. From this you can visualize which funds are improving on a relative basis and which are deteriorating.

5-day Intervals 21-day Intervals
Viewing Friday's Closing data.

Symbol 07/2007/1307/0606/2806/2106/1406/0705/3105/2305/1605/0905/0204/25
VMAX 70.454.466.588.021.38.45.35.65.06.526.199.399.5
VXZ 8.35.76.89.54.93.83.84.83.94.35.574.494.2
VIIZ 8.25.26.59.55.13.63.44.83.94.15.379.693.0
VIXM 8.15.36.38.94.73.73.64.63.64.15.173.693.8
XVZ 4.44.34.93.93.53.84.64.04.03.33.02.02.2
VXX 4.14.04.211.23.32.52.42.72.33.13.896.499.3
VIIX 4.13.94.111.23.42.32.32.92.23.03.796.499.3
VIXY 4.03.94.19.93.02.32.22.82.22.83.696.099.2

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Any symbols marked with * are not shown in the data tables because they are either filtered out
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