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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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Data Timeliness



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

NameSymbolRSfRtn-1dRtn-5dRtn-1moRtn-3moRtn-6moRtn-1yr$vol-21
popupREX VolMAXX Long VIX Weekly Futures Strategy ETFVMAX99.60-3.000.77-7.5482.4438.19-36.9973k
popupVelocityShares Long VIX Short Term ETN VIIX98.73-4.942.94-15.2252.1720.00-30.162m
popupiPath S&P 500 VIX Short-Term Futures ETNVXX98.66-4.882.74-15.1252.1219.95-30.172b
popupProShares VIX Short-Term Futures ETF VIXY98.53-4.902.67-15.2251.3919.56-30.7381m
popupVelocityShares Daily Long VIX Medium-Term ETNVIIZ87.80-0.700.98-4.9019.676.21-16.5128k
popupiPath S&P 500 VIX Mid-Term Futures ETNVXZ84.92-2.370.54-7.2118.605.48-17.304m
popupProShares VIX Mid-Term Futures ETF VIXM83.18-2.360.44-7.4218.304.90-17.69759k
popupIPATH S&P 500 DYNAMIC VIX ETNXVZ2.120.000.61-4.19-12.88-14.69-21.3423k
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 Thursday's Closing data.

Symbol 04/2604/1904/1204/0503/2803/2103/1403/0702/2802/2102/1302/0601/30
VMAX 99.699.599.799.699.696.093.080.395.167.396.319.61.1
VIIX 98.797.199.399.599.479.245.228.343.516.059.213.81.8
VXX 98.797.399.399.499.380.044.328.543.314.660.512.42.0
VIXY 98.597.099.299.399.378.142.226.241.514.858.111.41.8
VIIZ 87.867.992.090.788.915.49.611.96.26.67.77.03.6
VXZ 84.966.792.588.789.720.19.910.28.67.28.26.43.5
VIXM 83.262.491.987.888.718.29.89.67.97.07.66.33.4
XVZ 2.12.33.34.13.22.92.94.22.93.43.63.85.5

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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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