Select fund category from this list: Data Through
07-28-14
 Gainers
Ticker Name NAV $ Change
Nav $
One-day
return
TCPIX ProFunds Telecom UltraSector Inv 22.80 +0.70 3.17
FVUSA001XK JNL/Mellon Cptl Communications Sector A 5.06 +0.15 3.05
VTCAX Vanguard Telecom Services Index Adm 46.33 +1.11 2.45
FBIOX Fidelity® Select Biotechnology Portfolio 197.10 +4.49 2.33
RYOIX Rydex Biotechnology Inv 72.57 +1.56 2.20
FVUSA002LO Rydex Var Biotechnology 65.34 +1.40 2.19
FBTAX Fidelity Advisor® Biotechnology A 20.54 +0.42 2.09
FVUSA0013I ProFunds VP Telecommunications 9.29 +0.19 2.09
WCPIX ProFunds UltraSector Mobile Telecom Inv 54.97 +1.06 1.97
UHPIX ProFunds UltraShort China Inv 17.09 +0.32 1.91

 Losers
Ticker Name NAV $ Change
Nav $
One-day
return
FOUSA05HFL Transamerica Global Allocation I2 10.30 -1.76 -14.59
TMSFX Turner Medical Sciences Long/Short Inv 11.36 -0.35 -2.99
UGPIX ProFunds UltraChina Inv 14.11 -0.28 -1.95
ETAHX Eventide Healthcare & Life Sciences A 15.62 -0.30 -1.88
DBZAX Dreyfus Brazil Equity A 11.78 -0.22 -1.83
UBPIX ProFunds UltraLatin America Inv 7.62 -0.14 -1.80
BIRMX Birmiwal Oasis 10.11 -0.18 -1.75
DXZLX Direxion Mthly Latin America Bull 2X Inv 34.11 -0.58 -1.67
FSRFX Fidelity® Select Transportation 82.25 -1.28 -1.53
DMCRX Driehaus Micro Cap Growth 9.84 -0.05 -1.50

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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