Category Bonds - Leveraged / Inverse
Asset Type Bonds
Tags U.S.
Return% 1Y -33.24%
Shs Outstand
Perf Week 4.61%
Sponsor Direxion Shares
ETF Type
Tags fixed-income
Return% 3Y -36.96%
Total Holdings 13
Perf Month 2.35%
Fund Family
Bond Type
Tags treasuries
Return% 5Y -22.40%
AUM 5.00B
Perf Quarter -19.59%
Index ICE U.S. Treasury 20+ Year Bond Index
Average Maturity
Tags leverage
Return% 10Y
NAV%
Perf Half Y 13.54%
Index Weighting
Commodity Type
Tags -
Return% SI
NAV/sh
Perf Year -35.50%
Active/Passive
Quant Type
Tags -
Flows% 1M 4.11%
52W Range 38.30 - 95.70
Perf YTD -15.61%
Dividend TTM 1.79 (3.29%)
ESG Type
Tags -
Flows% 3M 24.11%
52W High -43.05%
Beta 0.56
Dividend Ex-Date Mar 19, 2024
Dividend Type
Sector/Theme
Flows% YTD 22.30%
52W Low 42.30%
ATR (14) 1.51
Expense 0.90%
Structure Type
Region
Flows% 1Y
RSI (14) 51.90
Volatility 1.85% 2.24%
Option/Short Yes / Yes
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 0.63
Prev Close 54.64
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 8.65M
Price 54.50
SMA20 0.12%
SMA50 -0.13%
SMA200 -6.13%
Trades
Volume 5,414,334
Change -0.26%
Mar-15-24 02:34PM
Jan-31-22 03:00PM
Jul-07-21 02:57PM
Jun-17-20 11:01AM
Mar-16-20 08:46AM
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Direxion Daily 20+ Year Treasury Bull 3X Shares seeks daily investment results, before fees and expenses, of 300% of the daily performance of the ICE U.S. Treasury 20+ Year Bond Index. The fund, under normal circumstances, invests at least 80% of its net assets in financial instruments, such as swap agreements, securities of the index, and ETFs that track the index and other financial instruments that provide daily leveraged exposure to the index or to ETFs that track the index. The index is a market value weighted index that includes publicly issued U.S. Treasury securities that have a remaining maturity of greater than 20 years. The fund is non-diversified.
Category Commodities & Metals - Leveraged / Inverse
Asset Type Commodities & Metals
Tags commodity
Return% 1Y -15.59%
Shs Outstand
Perf Week -0.54%
Sponsor ProShares
ETF Type
Tags futures
Return% 3Y -13.87%
Total Holdings 7
Perf Month -18.41%
Fund Family
Bond Type
Tags silver
Return% 5Y -35.31%
AUM 24.56M
Perf Quarter -4.30%
Index Bloomberg Silver Sub-Index
Average Maturity
Tags leverage
Return% 10Y
NAV%
Perf Half Y -19.55%
Index Weighting
Commodity Type
Tags inverse
Return% SI
NAV/sh
Perf Year -15.48%
Active/Passive
Quant Type
Tags -
Flows% 1M 71.58%
52W Range 15.62 - 24.66
Perf YTD -8.39%
Dividend TTM -
ESG Type
Tags -
Flows% 3M -62.60%
52W High -32.24%
Beta -1.38
Dividend Ex-Date -
Dividend Type
Sector/Theme
Flows% YTD -64.97%
52W Low 6.98%
ATR (14) 0.64
Expense 0.95%
Structure Type
Region
Flows% 1Y
RSI (14) 41.43
Volatility 2.91% 3.25%
Option/Short Yes / Yes
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 0.80
Prev Close 17.05
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 615.94K
Price 16.71
SMA20 -3.47%
SMA50 -11.95%
SMA200 -13.28%
Trades
Volume 490,372
Change -1.99%
Index -
P/E 10.57
EPS (ttm) 0.77
Insider Own 0.02%
Shs Outstand 619.94M
Perf Week 3.68%
Market Cap 5.06B
Forward P/E 8.28
EPS next Y 0.99
Insider Trans 0.00%
Shs Float 619.84M
Perf Month 48.28%
Income 480.17M
PEG -
EPS next Q -
Inst Own 28.75%
Short Float 1.17%
Perf Quarter 28.46%
Sales 3.16B
P/S 1.60
EPS this Y 76.22%
Inst Trans 13.53%
Short Ratio 1.30
Perf Half Y 110.57%
Book/sh 3.51
P/B 2.33
EPS next Y 30.54%
ROA 15.00%
Short Interest 7.26M
Perf Year 99.27%
Cash/sh 0.33
P/C 24.91
EPS next 5Y 0.00%
ROE 23.76%
52W Range 3.41 - 8.18
Perf YTD 32.85%
Dividend Est. 0.11 (1.30%)
P/FCF 15.47
EPS past 5Y -
ROI 20.34%
52W High -0.06%
Beta 1.70
Dividend TTM 0.04 (0.49%)
Quick Ratio 1.11
Sales past 5Y 14.60%
Gross Margin 26.58%
52W Low 139.59%
ATR (14) 0.31
Dividend Ex-Date Apr 11, 2024
Current Ratio 1.62
EPS Y/Y TTM 959.47%
Oper. Margin 23.55%
RSI (14) 71.33
Volatility 3.32% 4.53%
Employees 34913
Debt/Eq 0.08
Sales Y/Y TTM 19.36%
Profit Margin 15.21%
Recom 4.29
Target Price 5.12
Option/Short Yes / Yes
LT Debt/Eq 0.08
EPS Q/Q -
Payout 7.26%
Rel Volume 1.08
Prev Close 8.02
Sales Surprise -
EPS Surprise -
Sales Q/Q -
Earnings Feb 28 BMO
Avg Volume 5.56M
Price 8.17
SMA20 10.64%
SMA50 26.48%
SMA200 58.26%
Trades
Volume 6,019,073
Change 1.87%
Date
Action
Analyst
Rating Change
Price Target Change
Dec-12-23 Downgrade
JP Morgan
Neutral → Underweight
Nov-14-23 Upgrade
HSBC Securities
Reduce → Hold
Oct-18-23 Downgrade
Morgan Stanley
Equal-Weight → Underweight
Sep-07-22 Downgrade
UBS
Buy → Neutral
Jun-23-21 Downgrade
Morgan Stanley
Equal-Weight → Underweight
Feb-21-19 Upgrade
JP Morgan
Underweight → Overweight
Aug-28-18 Downgrade
Macquarie
Neutral → Underperform
Oct-20-17 Downgrade
BofA/Merrill
Buy → Neutral
Oct-13-17 Downgrade
Deutsche Bank
Hold → Sell
Mar-17-17 Downgrade
Deutsche Bank
Hold → Sell
Nov-11-16 Downgrade
HSBC Securities
Buy → Hold
Nov-11-16 Downgrade
Citigroup
Neutral → Sell
Jul-12-16 Upgrade
JP Morgan
Neutral → Overweight
Jul-01-16 Upgrade
Macquarie
Underperform → Neutral
Mar-15-16 Downgrade
Macquarie
Neutral → Underperform
Sep-14-15 Downgrade
JP Morgan
Overweight → Neutral
Aug-08-13 Downgrade
HSBC Securities
Neutral → Underweight
Jul-15-13 Downgrade
BMO Capital Markets
Market Perform → Underperform
Apr-29-13 Reiterated
HSBC Securities
Overweight
$11.50 → $6.90
Sep-16-11 Upgrade
HSBC Securities
Neutral → Overweight
$16 → $17
Show Previous Ratings
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Aug-30-23 01:41AM
(The Wall Street Journal)
Aug-25-23 04:53PM
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Harmony Gold Mining Co. Ltd. engages in mining and exploration of gold. It involves building mines, open-pit operation, sales and financial management, land rehabilitation, and mine closure. It operates through the following segments: Tshepong Operations, Moab Khotsong, Bambanani, Joel, Doornkop, Target 1, Kusasalethu, Masimong, Unisel, Mponeng, Mine Waste Solutions, and Hidden Valley. The company was founded on August 25, 1950 and is headquartered in Randfontein, South Africa.
Index -
P/E 18.37
EPS (ttm) 0.29
Insider Own 0.00%
Shs Outstand 174.42M
Perf Week -0.56%
Market Cap 933.15M
Forward P/E 12.59
EPS next Y 0.42
Insider Trans -
Shs Float 174.42M
Perf Month -0.19%
Income 50.92M
PEG -
EPS next Q 0.04
Inst Own 13.54%
Short Float 3.50%
Perf Quarter -13.01%
Sales 946.91M
P/S 0.99
EPS this Y 1.72%
Inst Trans -8.19%
Short Ratio 7.95
Perf Half Y -7.92%
Book/sh 4.80
P/B 1.11
EPS next Y 44.07%
ROA 3.04%
Short Interest 6.11M
Perf Year -30.25%
Cash/sh 3.78
P/C 1.42
EPS next 5Y -11.79%
ROE 5.82%
52W Range 5.22 - 8.20
Perf YTD -11.86%
Dividend Est. 1.13 (21.12% )
P/FCF 7.19
EPS past 5Y 42.37%
ROI 5.71%
52W High -34.76%
Beta 2.07
Dividend TTM 0.48 (8.97% )
Quick Ratio 1.39
Sales past 5Y 11.16%
Gross Margin 27.88%
52W Low 2.49%
ATR (14) 0.18
Dividend Ex-Date Jun 29, 2023
Current Ratio 1.69
EPS Y/Y TTM -78.45%
Oper. Margin 4.59%
RSI (14) 42.85
Volatility 2.44% 3.45%
Employees 2181
Debt/Eq 0.58
Sales Y/Y TTM -20.98%
Profit Margin 5.38%
Recom 2.50
Target Price 6.50
Option/Short Yes / Yes
LT Debt/Eq 0.04
EPS Q/Q -43.50%
Payout 34.68%
Rel Volume 0.79
Prev Close 5.41
Sales Surprise 0.39%
EPS Surprise 22.73%
Sales Q/Q -12.29%
Earnings Feb 06 BMO
Avg Volume 768.77K
Price 5.35
SMA20 -4.40%
SMA50 -5.09%
SMA200 -11.69%
Trades
Volume 605,067
Change -1.11%
Date
Action
Analyst
Rating Change
Price Target Change
Aug-11-23 Upgrade
Credit Suisse
Neutral → Outperform
$8
Jul-14-22 Downgrade
Credit Suisse
Outperform → Neutral
$7
Apr-07-22 Downgrade
Nomura
Buy → Neutral
$11
Jan-27-21 Upgrade
Nomura
Neutral → Buy
Apr-01-20 Upgrade
Credit Suisse
Neutral → Outperform
Mar-25-20 Resumed
Robert W. Baird
Outperform
$6
Jan-31-20 Upgrade
Lake Street
Hold → Buy
$2.50 → $5
Jan-06-20 Upgrade
Credit Suisse
Underperform → Neutral
$3
Aug-09-19 Downgrade
Credit Suisse
Neutral → Underperform
Jul-12-19 Downgrade
ROTH Capital
Buy → Neutral
$5 → $3.50
May-30-19 Upgrade
ROTH Capital
Neutral → Buy
Jan-25-19 Downgrade
Lake Street
Buy → Hold
$7 → $4
Nov-20-18 Downgrade
ROTH Capital
Buy → Neutral
Nov-09-18 Downgrade
Credit Suisse
Outperform → Neutral
Oct-01-18 Upgrade
ROTH Capital
Neutral → Buy
Aug-16-18 Downgrade
Macquarie
Outperform → Neutral
Nov-27-17 Downgrade
Morgan Stanley
Overweight → Equal-Weight
Sep-28-17 Upgrade
Lake Street
Hold → Buy
$8.50 → $13
Sep-26-17 Reiterated
ROTH Capital
Buy
$10 → $12
Aug-04-17 Upgrade
Robert W. Baird
Neutral → Outperform
$6 → $10
Show Previous Ratings
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02:58AM
Feb-06-24 05:56AM
(Associated Press Finance)
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(Associated Press Finance)
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Himax Technologies, Inc. is a semiconductor solution provider dedicated to display imaging processing technologies. It operates through the Driver Integrated Circuit and Non-Driver Products segments. The company's products include display drivers, timing controllers, wafer level optics, video and display technology solutions, liquid crystal over silicon silicon, complementary metal-oxide semiconductor image sensor, and power integrated circuit. Its products used in TVs, laptops, monitors, mobile phones, tablets, digital cameras, car navigation, virtual reality (VR) devices and many other consumer electronics devices. Himax Technologies was founded by Biing Seng Wu and Jordan Wu on June 12, 2001 and is headquartered in Tainan, Taiwan.
Index RUT
P/E 14.25
EPS (ttm) 3.05
Insider Own 37.11%
Shs Outstand 92.79M
Perf Week -2.78%
Market Cap 4.03B
Forward P/E 11.15
EPS next Y 3.90
Insider Trans -0.24%
Shs Float 58.35M
Perf Month 5.52%
Income 287.67M
PEG 0.52
EPS next Q 0.51
Inst Own 71.85%
Short Float 5.36%
Perf Quarter 20.11%
Sales 5.15B
P/S 0.78
EPS this Y 9.62%
Inst Trans -2.68%
Short Ratio 1.77
Perf Half Y 34.89%
Book/sh 22.77
P/B 1.91
EPS next Y 9.33%
ROA 7.38%
Short Interest 3.13M
Perf Year 62.26%
Cash/sh 5.01
P/C 8.66
EPS next 5Y 27.50%
ROE 14.73%
52W Range 25.47 - 47.29
Perf YTD 21.66%
Dividend Est. -
P/FCF 13.01
EPS past 5Y 2.34%
ROI 9.70%
52W High -8.18%
Beta 1.54
Dividend TTM -
Quick Ratio 0.74
Sales past 5Y 6.44%
Gross Margin 36.94%
52W Low 70.47%
ATR (14) 1.32
Dividend Ex-Date -
Current Ratio 1.29
EPS Y/Y TTM 80.96%
Oper. Margin 7.53%
RSI (14) 54.63
Volatility 2.72% 3.44%
Employees 26000
Debt/Eq 0.51
Sales Y/Y TTM 7.47%
Profit Margin 5.58%
Recom 2.67
Target Price 45.33
Option/Short Yes / Yes
LT Debt/Eq 0.40
EPS Q/Q 48.77%
Payout 0.00%
Rel Volume 0.48
Prev Close 42.78
Sales Surprise -0.89%
EPS Surprise -6.69%
Sales Q/Q 7.34%
Earnings Feb 27 AMC
Avg Volume 1.77M
Price 43.42
SMA20 2.16%
SMA50 3.96%
SMA200 19.60%
Trades
Volume 854,995
Change 1.50%
Date
Action
Analyst
Rating Change
Price Target Change
Feb-28-24 Reiterated
Telsey Advisory Group
Outperform
$44 → $48
Feb-12-24 Upgrade
UBS
Sell → Neutral
$21 → $41
Jan-10-24 Reiterated
Telsey Advisory Group
Outperform
$42 → $44
Nov-22-23 Downgrade
Morgan Stanley
Overweight → Equal-Weight
Sep-25-23 Downgrade
Jefferies
Buy → Hold
$42 → $31
Aug-23-23 Reiterated
Telsey Advisory Group
Outperform
$41 → $42
Aug-14-23 Downgrade
Citigroup
Buy → Neutral
$36 → $40
Jun-13-23 Upgrade
Morgan Stanley
Equal-Weight → Overweight
$27 → $41
May-24-23 Upgrade
Barclays
Equal Weight → Overweight
$27 → $38
Mar-29-23 Downgrade
UBS
Neutral → Sell
Jun-17-22 Downgrade
B. Riley Securities
Buy → Neutral
$35 → $23
May-27-22 Downgrade
Morgan Stanley
Overweight → Equal-Weight
$34 → $25
Apr-01-22 Downgrade
Barclays
Overweight → Equal Weight
$34 → $29
Nov-30-21 Resumed
Jefferies
Buy
$46
Nov-16-21 Upgrade
B. Riley Securities
Neutral → Buy
$36 → $45
Oct-22-21 Upgrade
Citigroup
Neutral → Buy
$44 → $40
May-26-21 Upgrade
JP Morgan
Underweight → Neutral
$30 → $38
Apr-23-21 Resumed
RBC Capital Mkts
Sector Perform
$34
Apr-13-21 Reiterated
Telsey Advisory Group
Outperform
$40 → $45
Feb-25-21 Reiterated
Telsey Advisory Group
Outperform
$35 → $40
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Urban Outfitters, Inc. engages in the operation of a general consumer product retail and wholesale business selling to customers through various channels including retail locations, websites, catalogs, and mobile applications. It operates through the following segments: Retail, Wholesale and Subscription. The Retail segment contains the Anthropologie, BHLDN, Free People, Terrain, and Urban Outfitters brands and its Food and Beverage division. The Wholesale segment designs, develops, and markets apparel, intimates, active wear, and home goods under the Free People, Anthropologie, and Urban Outfitters brands. The Subscription segment consists of the Nuuly brand, which is a monthly women's apparel subscription rental service. The company was founded by Richard A. Hayne and Scott A. Belair in 1970 and is headquartered at Philadelphia, PA.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Smith Tricia D Global CEO Anthropologie Group Mar 12 '24 Sale 40.74 6,250 254,625 6,353 Mar 13 05:01 PM Marein-Efron Melanie Chief Financial Officer Mar 12 '24 Sale 40.72 6,000 244,290 908 Mar 13 05:02 PM Hayne Azeez Chief Administrative Officer Mar 12 '24 Sale 41.00 2,878 117,998 0 Mar 13 05:01 PM Hayne Azeez Chief Administrative Officer Mar 11 '24 Sale 40.75 2,878 117,278 2,878 Mar 12 05:06 PM Marein-Efron Melanie Chief Financial Officer Mar 08 '24 Sale 42.23 3,345 141,259 6,908 Mar 12 05:08 PM ANTOIAN EDWARD N Director Mar 07 '24 Option Exercise 18.81 20,000 376,200 41,654 Mar 11 05:07 PM Morgenfeld Todd R Director Mar 01 '24 Option Exercise 23.74 10,000 237,400 29,000 Mar 05 05:28 PM MCDONALD WESLEY S Director Mar 01 '24 Option Exercise 23.74 10,000 237,400 29,000 Mar 05 05:29 PM Conforti Frank Co-President & COO Mar 01 '24 Sale 42.27 36,604 1,547,354 0 Mar 05 05:31 PM Morgenfeld Todd R Director Mar 01 '24 Sale 42.55 10,000 425,450 19,000 Mar 05 05:28 PM MCDONALD WESLEY S Director Mar 01 '24 Sale 41.90 10,000 418,950 19,000 Mar 05 05:29 PM Hayne Azeez Chief Administrative Officer Mar 01 '24 Sale 41.95 4,517 189,466 0 Mar 05 05:30 PM Morgenfeld Todd R Director Jun 12 '23 Option Exercise 23.74 5,000 118,700 24,000 Jun 13 05:04 PM Morgenfeld Todd R Director Jun 12 '23 Sale 32.58 5,000 162,900 19,000 Jun 13 05:04 PM Marein-Efron Melanie Chief Financial Officer May 26 '23 Sale 31.24 16,036 500,917 1,000 May 30 05:26 PM Hayne Azeez Chief Administrative Officer Apr 13 '23 Sale 26.25 16,116 423,045 0 Apr 14 04:12 PM
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