Blend, Earnings-Oriented ETFs on average are in the long-term up 262% in 15 years.
Blend, Equity ETFs on average are in the long-term up 141% in 13 years.
Large-cap, Blend, Equally-Weighted, Equity ETF is in the long-term up 291% in 15 years.
Multi-cap, Blend ETFs on average are in the long-term up 236% in 14 years.
Small-cap, Blend, U.S. ETFs on average are in the long-term up 215% in 14 years.
Malaysia ETF is in the long-term up 1507% in 27 years.
Rare Earth ETF is in the long-term down -63% below S&P in 3 years.
Socially Responsible ETF is in the long-term up 276% in 15 years.
Turkey ETF is in the long-term down -87% below S&P in 14 years.
|Symbol||Company Name||Price||Change||Total net assets||Total expense ratio|
|BCM||iPath Pure Beta Broad Commodity ETN||26.89||-0.4%|
|BLNG||iPath Pure Beta Precious Metal ETN||30.87|
|CAFE||Barclays Bank Plc||13.6||-1.88%|
|CHOC||iPath Pure Beta Cocoa ETN||38.7||17.2%|
|CTNN||iPath Pure Beta Cotton ETN||29.07|
|CUPM||iPath Pure Beta Copper ETN||27.65|
|DIRT||iPath Pure Beta Agriculture ETN||32.15|
|FOIL||iPath Pure Beta Aluminum ETN||23.95|
|GRWN||iPath Pure Beta Softs ETN||25.21|
|HEVY||iPath Pure Beta Industrial Metals ETN||27.05|
|LEDD||iPath Pure Beta Lead ETN||35|
|LSTK||iPath Pure Beta Livestock ETN||39.42|
|NINI||iPath Pure Beta Nickel ETN||17.61|
|OLEM||iPath Pure Beta Crude Oil ETN||17.07||1.07%|
|ONG||iPath Pure Beta Energy ETN||15.98|
|SBV||iPath Pure Beta Broad Commodity ETN||21.03|
|SGAR||iPath Pure Beta Sugar ETN||29.26||-0.7%|
|WEET||iPath Pure Beta Grains ETN||33.44|