Type of security: Fund
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ERY is in the long-term up 225% in 4 years.
Description: The investment seeks daily investment results, before fees and expenses, of 300% of the inverse (or opposite) of the performance of the Energy Select Sector Index. The fund, under normal circumstances, creates short positions by investing at least 80% of its assets in financial instruments that, in combination, provide leveraged and unleveraged exposure to the index. The index is provided by Standard & Poor's and includes domestic companies from the following industries: oil, gas & consumable fuels; and energy equipment & services. The fund is non-diversified.
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|High 52 week||80.13||Low 52 week||29.56||Last close||50.4||Last change||-1.12%|
|RSI||60.71||Average true range||2.78||Beta||-3.43||Volume||639.82 K|
|Simple moving average 20 days||1.76%||Simple moving average 50 days||-1.67%||Simple moving average 200 days||9.81%|
|Performance Week||-11.36%||Performance Month||23.33%||Performance Quart||14.01%||Performance Half||36.56%|
|Performance Year||42.07%||Performance Year-to-date||-22.45%||Volatility daily||3.35%||Volatility weekly||7.5%|
|Volatility monthly||15.37%||Volatility yearly||53.23%||Relative Volume||116.06%||Average Volume||258.74 K|
|New High||New Low|
|30-day SEC yield||Average market capitalization||Average weighted market capitalization||Forward P/E|
|Gross expense ratio||1.01%||Index dividend yield||Median market cap||Number of holdings|
|Price to Book Value||Price to Earnings||Total expense ratio||Total net assets|
|Weighted market capitalization|
|Gross Expense Ratio||1.01|
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