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

NameSymbolRSfRtn-1dRtn-5dRtn-1moRtn-3moRtn-6moRtn-1yr$vol-21
popupiPath S&P 500 VIX Short-Term Futures ETNVXX95.416.71-6.0227.8110.60-18.260.032b
popupVelocityShares Long VIX Short Term ETN VIIX95.286.64-6.4027.5710.59-18.42-0.203m
popupProShares VIX Short-Term Futures ETF VIXY94.766.69-6.2427.9410.54-18.63-0.8788m
popupiPath S&P 500 VIX Mid-Term Futures ETNVXZ92.761.99-2.6612.778.43-6.00-0.612m
popupProShares VIX Mid-Term Futures ETF VIXM92.181.88-2.5412.698.25-6.26-1.311m
popupIPATH S&P 500 DYNAMIC VIX ETNXVZ39.381.00-0.963.665.330.00-15.69148k
6 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 Thursday's Closing data.

Symbol 10/1810/1110/0409/2709/2009/1309/0608/2908/2208/1508/0808/0107/25
VXX 95.497.43.71.41.84.85.92.53.25.11.44.03.1
VIIX 95.397.43.61.41.94.95.92.43.24.91.53.93.2
VIXY 94.897.33.41.31.74.65.62.33.04.71.23.83.0
VXZ 92.896.211.45.87.711.216.87.27.811.74.47.85.7
VIXM 92.295.910.55.67.410.716.06.77.611.34.37.65.6
XVZ 39.445.517.010.710.411.817.411.58.615.76.55.24.1

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