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iPath S&P 500 VIX Short-Term Futures ETN

TRADE

AMEX: VXX
33.36+3.26+10.83%Vol 43 613 5811Y Perf -36.87%
Aug 15th, 2018 11:59
BID33.36 ASK33.37
Open31.66 Previous Close30.10
Price Range Ratio 52wk %
25.14 Managed Assets (in ths.)866 025

Today's Price Range

31.5634.09

 

52wk Range

25.5956.50

Summary:

Neutral

Technical Indicators: Neutral
Moving Averages: Buy

The iPath SP 500 VIX Short-Term Futures ETNs (the ETNs) are designed to provide exposure to the SP 500 VIX Short-Term Futures Index Total Return (the Index). The Index is designed to provide access to equity market volatility through CBOE Volatility Index (the VIX Index) futures. The Index offers exposure to a daily rolling long position in the first and second month VIX futures contracts and reflects market participants views of the future direction of the VIX index at the time of expiration of the VIX futures contracts comprising the Index.

Performance
1 Month
-4.23%
3 Months
-18.88%
6 Months
-27.49%
1 Year
-36.87%
3 Years
-90.41%
5 Years
-96.64%
10 Years
-99.97%

Quotes

Name / TickerPriceChg.Chg.%
VXX33.363.260010.83
AAPL208.45-1.3000-0.62
GOOG1 213.34-28.7600-2.32
MSFT107.32-2.2400-2.04
XOM76.94-1.3700-1.75
WFC57.98-0.0900-0.15
JNJ129.620.12000.09
FB176.38-4.7300-2.61
GE12.18-0.1700-1.38
JPM113.50-1.1500-1.00
...

TickerPriceChg.%52 Week High
CMG519.595.33521.40
KMB115.533.96124.15
BSX34.612.7037.30
PCG43.752.1271.57
CLX144.641.97150.40
PGR63.501.9464.77
HCP26.791.9430.59
EIX68.271.9383.38
ARE126.791.84134.37
LUV60.171.8366.99

Volume Overview
Volume43 613 581
Shares Outstanding (in ths.)28 772
Trades Count205 522
Dollar Volume1 299 750 090
Avg. Volume38 998 832
Avg. Weekly Volume35 132 313
Avg. Monthly Volume30 692 088
Avg. Quarterly Volume32 262 270
Classification
Fund FamilyiPath
Underlying IndexS&P 500 ...
Asset ClassAlternative
RegionNorth America
CountryUS
FocusAlternative Investments
Equity IndexS&P 500
Leveraged Family-
Investment Strategy-
Equity Size-
Equity Style-
TypeAlternative Investments
Inception Date29th Jan 2009
Management StyleActive-Quantitative
Alternative Asset ClassVolatility-VIX
Fundamentals & Details
LeverageLong
Alpha-0.89
Beta-6.41
Standard Deviaton7.37
Managed Assets (in ths.)866 025
NAV30.10
First Trade Price6 407.04
PE Ratio-
Management Fee0.89
OptionsYes
Dividends & Splits
Latest Dividend-
Dividend Date-
Dividend Rate Ann.-
Dividend Yield Ann.0.00
Latest Split1:4
Split Date23rd Aug 2017

Top HoldingsTickerNamePosition
Total Holdings Count -

Bearish or Bullish?
WeekMonthThree MonthsSix Months

Bearish Bullish

50%50%

Bearish Bullish

55%45%

Bearish Bullish

65%35%

Bearish Bullish

36%64%

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