Category Equity - Leveraged / Inverse
Asset Type Equities (Stocks)
Tags International
Return% 1Y 23.80%
Shs Outstand
Perf Week 4.65%
Sponsor Direxion Shares
ETF Type
Tags equity
Return% 3Y -3.72%
Total Holdings 9
Perf Month -9.82%
Fund Family
Bond Type
Tags Brazil
Return% 5Y -37.56%
AUM 98.18M
Perf Quarter -16.24%
Index MSCI Brazil 25/50 Index
Average Maturity
Tags leverage
Return% 10Y
NAV%
Perf Half Y 3.32%
Index Weighting
Commodity Type
Tags -
Return% SI
NAV/sh
Perf Year 21.00%
Active/Passive
Quant Type
Tags -
Flows% 1M 14.03%
52W Range 61.74 - 105.38
Perf YTD -25.01%
Dividend TTM 3.53 (4.58%)
ESG Type
Tags -
Flows% 3M 8.51%
52W High -26.79%
Beta 2.54
Dividend Ex-Date Mar 19, 2024
Dividend Type
Sector/Theme
Flows% YTD 2.93%
52W Low 24.96%
ATR (14) 2.89
Expense 0.92%
Structure Type
Region
Flows% 1Y
RSI (14) 40.32
Volatility 3.41% 3.05%
Option/Short Yes / Yes
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 1.22
Prev Close 78.17
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 30.67K
Price 77.15
SMA20 -4.94%
SMA50 -10.14%
SMA200 -10.91%
Trades
Volume 13,356
Change -1.30%
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(The Wall Street Journal) -7.94%
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(Harvest Exchange) +18.37%
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(Harvest Exchange) -6.88%
Feb-28-17 05:41PM
Direxion Daily MSCI Brazil Bull 2X Shares seeks daily investment results of 200% of the daily performance of the MSCI Brazil 25/50 Index. The index measures the performance of the large- and mid-capitalization segments of the Brazilian equity market, covering approximately 85% of the free float-adjusted market capitalization of Brazilian issuers. The fund invests at least 80% of its net assets in financial instruments, such as swap agreements, ETFs that track the index, securities of the index and other financial instruments that provide daily leveraged exposure to the index or to ETFs that track the index which provide returns consistent with the objective. It is non-diversified.
Index RUT
P/E 13.27
EPS (ttm) 0.76
Insider Own 71.80%
Shs Outstand 278.43M
Perf Week 9.62%
Market Cap 2.83B
Forward P/E 7.88
EPS next Y 1.29
Insider Trans 6.64%
Shs Float 78.87M
Perf Month 14.32%
Income 211.22M
PEG 0.66
EPS next Q -0.07
Inst Own 36.54%
Short Float 37.19%
Perf Quarter 23.22%
Sales 1.56B
P/S 1.81
EPS this Y -117.54%
Inst Trans 3.27%
Short Ratio 6.47
Perf Half Y -15.73%
Book/sh 8.47
P/B 1.20
EPS next Y 1659.75%
ROA 3.43%
Short Interest 29.33M
Perf Year -6.73%
Cash/sh 0.06
P/C 169.95
EPS next 5Y 20.00%
ROE 9.11%
52W Range 7.07 - 13.39
Perf YTD 14.45%
Dividend Est. 0.17 (1.65%)
P/FCF -
EPS past 5Y -
ROI 4.19%
52W High -24.35%
Beta 0.71
Dividend TTM 0.38 (3.70%)
Quick Ratio 0.68
Sales past 5Y 52.69%
Gross Margin 16.68%
52W Low 43.27%
ATR (14) 0.37
Dividend Ex-Date Nov 30, 2023
Current Ratio 0.68
EPS Y/Y TTM -83.74%
Oper. Margin 14.24%
RSI (14) 70.17
Volatility 4.51% 3.97%
Employees 251
Debt/Eq 1.15
Sales Y/Y TTM -56.44%
Profit Margin 13.53%
Recom 2.87
Target Price 10.04
Option/Short Yes / Yes
LT Debt/Eq 1.14
EPS Q/Q -79.21%
Payout 65.42%
Rel Volume 0.57
Prev Close 10.15
Sales Surprise 3.17%
EPS Surprise -14.68%
Sales Q/Q -55.93%
Earnings May 01 AMC
Avg Volume 4.53M
Price 10.13
SMA20 7.58%
SMA50 16.73%
SMA200 -0.58%
Trades
Volume 924,060
Change -0.21%
Date
Action
Analyst
Rating Change
Price Target Change
Jan-09-24 Upgrade
Pickering Energy Partners
Underperform → Neutral
Jan-03-24 Downgrade
Mizuho
Neutral → Underperform
Dec-19-23 Initiated
Siebert Williams Shank
Hold
$10
Dec-14-23 Downgrade
Johnson Rice
Accumulate → Hold
Apr-20-23 Upgrade
Citigroup
Sell → Neutral
$10 → $12
Jan-10-23 Downgrade
Mizuho
Buy → Neutral
$21 → $17
Jan-09-23 Downgrade
KeyBanc Capital Markets
Overweight → Sector Weight
Dec-07-22 Downgrade
Citigroup
Buy → Sell
$24 → $14
Nov-16-22 Initiated
Tudor, Pickering, Holt & Co.
Hold
Sep-20-22 Initiated
KeyBanc Capital Markets
Overweight
$26
Aug-02-22 Upgrade
Piper Sandler
Underweight → Neutral
$17
Jul-22-22 Upgrade
Piper Sandler
Underweight → Neutral
$16 → $17
Jul-21-22 Resumed
Citigroup
Buy
$17
Jul-20-22 Resumed
MKM Partners
Neutral
$11.50
Jul-18-22 Downgrade
Goldman
Neutral → Sell
$12
May-18-22 Downgrade
Piper Sandler
Neutral → Underweight
$19 → $16
Mar-15-21 Downgrade
Piper Sandler
Overweight → Neutral
$6.50 → $6
Jan-11-21 Downgrade
BMO Capital Markets
Outperform → Market Perform
$5
Dec-15-20 Downgrade
Truist
Buy → Hold
$8 → $5
Dec-08-20 Resumed
KeyBanc Capital Markets
Sector Weight
Show Previous Ratings
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Comstock Resources, Inc. engages in the acquisition, development, and exploration of oil and natural gas. The firm operations concentrated in the Haynesville shale, a premier natural gas basin located in East Texas. The company was founded in 1919 and is headquartered in Frisco, TX.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Blue Star Exploration Corp 10% Owner Mar 25 '24 Buy 8.04 12,500,000 100,450,000 194,821,429 Mar 25 09:04 PM
Category Commodities & Metals - Leveraged / Inverse
Asset Type Commodities & Metals
Tags commodity
Return% 1Y 18.68%
Shs Outstand
Perf Week -0.20%
Sponsor ProShares
ETF Type
Tags futures
Return% 3Y 33.25%
Total Holdings 10
Perf Month 3.06%
Fund Family
Bond Type
Tags oil
Return% 5Y -27.01%
AUM 585.07M
Perf Quarter 12.61%
Index Bloomberg Commodity Balanced WTI Crude O...
Average Maturity
Tags leverage
Return% 10Y
NAV%
Perf Half Y 0.20%
Index Weighting
Commodity Type
Tags -
Return% SI
NAV/sh
Perf Year 22.86%
Active/Passive
Quant Type
Tags -
Flows% 1M -3.42%
52W Range 21.20 - 37.11
Perf YTD 27.15%
Dividend TTM -
ESG Type
Tags -
Flows% 3M -24.37%
52W High -10.58%
Beta 1.48
Dividend Ex-Date -
Dividend Type
Sector/Theme
Flows% YTD -28.04%
52W Low 56.53%
ATR (14) 0.95
Expense 0.95%
Structure Type
Region
Flows% 1Y
RSI (14) 48.26
Volatility 2.67% 2.65%
Option/Short Yes / Yes
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 1.09
Prev Close 33.73
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 1.85M
Price 33.19
SMA20 -3.10%
SMA50 3.94%
SMA200 8.41%
Trades
Volume 716,688
Change -1.62%
Jan-31-24 12:16PM
Jan-30-24 10:46AM
Jan-19-24 11:45AM
Jan-17-24 03:40PM
Jan-16-24 04:01AM
12:18AM
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07:21AM
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07:18AM
ProShares Ultra Bloomberg Crude Oil seeks daily investment results, before fees and expenses, that correspond to two times (2x) the daily performance of the Bloomberg Commodity Balanced WTI Crude Oil IndexSM. The fund seeks to meet its investment objective by investing, under normal market conditions, in any one of, or combinations of, Financial Instruments (including swap agreements, futures contracts, forward contracts, and option contracts) based on WTI sweet, light crude oil. It will not invest directly in oil.
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