Select fund category from this list: Data Through
04-14-14
 Gainers
Ticker Name NAV $ Change
Nav $
One-day
return
UFPIX ProFunds UltraShort Latin America Inv 14.38 +0.57 4.13
RYWYX Rydex Inverse Emerging Mkts 2X Strat H 17.65 +0.54 3.16
UVPIX ProFunds UltraShort Emerg Mkt Inv 9.62 +0.29 3.11
UHPIX ProFunds UltraShort China Inv 23.75 +0.62 2.68
BIPIX ProFunds Biotechnology UltraSector Inv 43.68 +1.02 2.39
BFOCX Berkshire Focus 16.38 +0.36 2.25
OEPIX ProFunds Oil Equipment Svc & Dist Inv 27.58 +0.54 2.00
UTPIX ProFunds Utilities UltraSector Inv 30.26 +0.56 1.89
ENPIX ProFunds UltraSector Oil & Gas Investor 57.53 +1.04 1.84
INPIX ProFunds Internet UltraSector Inv 32.54 +0.57 1.78

 Losers
Ticker Name NAV $ Change
Nav $
One-day
return
FVUSA001HQ Metropolitan Ser MFS Value A 16.49 -1.08 -6.15
FOUSA07WYU Metropolitan Ser Met/Dimsnl Intl Sm Cm A 16.08 -1.03 -6.02
FVUSA001FM Metropolitan Ser MetLife MidCap StkIdx A 17.30 -0.96 -5.26
FOUSA08PBO Met Invt Ser Met/Templeton Intl Bd A 11.22 -0.59 -5.00
DXHLX Direxion Mthly China Bull 2X Inv 30.68 -1.61 -4.99
UBPIX ProFunds UltraLatin America Inv 6.59 -0.29 -4.22
DXZLX Direxion Mthly Latin America Bull 2X Inv 28.62 -1.22 -4.09
UNWPX US Global Investors Wld Prec Minerals 6.40 -0.21 -3.18
UUPIX ProFunds UltraEmerging Markets Inv 10.52 -0.34 -3.13
RYWVX Rydex Emerging Markets 2X Strategy H 68.53 -2.19 -3.10

Ticker
This is the ticker symbol for the holding. Click on it to see the Morningstar Quicktake report on this security.

Name
This is the name of the fund, abbreviated to fit in this space.

NAV $
The fund's Net Asset Value (or per-share price) as of most recent market close. Funds of funds report their NAVs one day late, so the funds of funds' NAVs are one day old.

Change Nav $
This is equal to the most recent NAV for the fund minus the previous day's NAV. Funds of funds report their NAVs one day late, so the funds of funds' NAV changes are one day old.

One-day return
This is equal to the one-day change in the fund's NAV plus reinvested dividends, if any, divided by the prior day's NAV. Funds of funds report their NAVs one day late, so the funds of funds' one-day return are one day old.
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