ProShares Short VIX Short-Term Futures
(NYSE ARCA: SVXY)
AdChoices
63.43
+0.67
+1.07%
:

Open

62.74

Net Assets

503.84M

Day's Range

59.20-63.82

52 week range

48.29-93.33

Category

Volatility

Vol (3-Month Avg.)

1.87M

Yield

0.00%

Morningstar Risk

-

AdChoices
Performance
Returns %
Key statistics
  • Composition
  • Performance
  • Top Holdings
  • Key Statistics
Composition

PERFORMANCE

  • Total Return %

  • 1 Day

  • 1 Week

  • 1 Month

  • 3 Months

  • 1 Year

  • 3 Years

  • 5 Years

    • SVXY

    • 1.96

    • 15.81

    • -22.74

    • -26.08

    • 12.14

    • 69.27

    • -

    • Category(Volatility)

    • -1.16

    • -7.34

    • 3.12

    • 5.44

    • -20.40

    • -22.50

    • -43.81

    • Rank in Category

    • 1

    • 1

    • 100

    • 100

    • 1

    • 1

    • -

    MORNINGSTAR RATING

    • Years

    • Return

    • Risk

    • Rating

      • 3 Years

      • -

      • -

      • -

      • 5 Years

      • -

      • -

      • -

      • 10 Years

      • -

      • -

      • -

      • Overall

      • -

      • -

      • -

      TOP HOLDINGS

      • Name

      • % Portfolio Weight

      • Shares Held

      • Change

        • Cboe Vix Future 10/21/2014 (Uxv4)

        • 59.60

        • 11,352

        • 11,352

        • Cboe Vix Future 11/18/2014 (Uxx4)

        • 40.62

        • 7,575

        • 7,575

        CATEGORY

        • Name

        • SVXY

        • Category

          • Avg. Market Cap USD (M)

          • -

          • 68,332.57

          • Expense Ratio

          • 0.95%

          • 1.15%

          • Net Assets

          • 503.84M

          • 144.15M

          • Price/Prospective Earnings

          • -

          • 16.29

          • Price/Book

          • -

          • 2.23

          • Price/Sales

          • -

          • 1.55

          • Price/Cash Flow

          • -

          • 6.80

          • Dividend Yield

          • -

          • -

          Profile

          Name of Issuer

          ProShares

          Expenses

          0.95%

          The “Short” Fund seeks daily results that match (before fees and expenses) the inverse (-1x) of the daily performance of a benchmark. The Short Fund does not seek to achieve its stated objective over a period greater than a single day. A “single day” is measured from the time the Short Fund calculates its NAV to the time of the Short Fund’s next NAV calculation. If the Short Fund is successful in meeting its objective, its value on a given day (before fees and expenses) should gain approximately as much on a percentage basis as the level of its corresponding benchmark when the benchmark declines.

          Inception

          10/3/2011