[DTYS] iPath US Treasury 10 Yr Bear ETN


Type of security: Stock



Market Capitalization:


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Price: 21.03 Change: -0.02 (-0.1%)
Ext. hours: Change: 0 (0%)

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Strongest Trends Summary For DTYS

DTYS is in the medium-term down -18% in 2 months. In the long-term up 27% in 2 years and down -82% below S&P in 12 years.

Horizon: 3 hours | 2 days | 5 days | 10 days | 1 month | 6 months | 1 year | 2 years | 5 years | max

Chart type: absolute | relative to S&P

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Description: The iPath® US Treasury 10-year Bear ETN is designed to provide investors with inverse exposure to the Barclays 10Y US Treasury Futures Targeted Exposure Index™. The Barclays 10Y US Treasury Futures Targeted Exposure Index™ (the "Index") is designed to decrease in response to an increase in the 10-year Treasury note yields and to increase in response to a decrease in 10-year Treasury note yields. The Index targets a fixed level of sensitivity to changes in the yield of the current "cheapest-to-deliver" note underlying the relevant 10-year Treasury futures contract at a given point in time.

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Fundamental Ratios
Shares Outstanding EPS EPS Growth - 4 Quarters EPS Growth - Q/Q
EPS Growth - Y/Y Sales Growth - 4 Quarters Sales Growth - Q/Q P/E
P/E To EPS Growth P/S P/BV Price/Cash Per Share
Price/Free Cash Flow ROA ROE ROI
Current Ratio Quick Ratio Long Term Debt/Equity Debt Ratio
Gross Margin Operating Margin Net Profit Margin Dividend Payout Ratio
Dividend Yield
Fundamental Data
Cash From Financing Activities Cash From Investing Activities Cash From Operating Activities Gross Profit
Net Profit Operating Profit Total Assets Total Current Assets
Total Current Liabilities Total Debt Total Liabilities Total Revenue
Technical Data
High 52 week25.6 Low 52 week17.54 Last close20.5 Last change-3.3%
RSI18.65 Average true range0.68 Beta0.91 Volume7.31 K
Simple moving average 20 days-8% Simple moving average 50 days-13.45% Simple moving average 200 days-11.18%
Performance Data
Performance Week-6.39% Performance Month-12.65% Performance Quart-15.6% Performance Half-10.87%
Performance Year13.89% Performance Year-to-date12.33% Volatility daily1.28% Volatility weekly2.87%
Volatility monthly5.89% Volatility yearly20.39% Relative Volume115.81% Average Volume31.79 K
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