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Select fund category from this list: Data Through
02-09-10
 Gainers
Ticker Name NAV $ Change
Nav $
One-day
return
DXZLX Direxion Mthly Latin America Bull 2X Inv 45.23 +3.23 7.69
UBPIX ProFunds UltraLatin America Inv 10.13 +0.69 7.31
DXELX Direxion Mthly Emerg Mkts Bull 2X 51.53 +3.31 6.86
UUPIX ProFunds UltraEmerging Markets Inv 13.08 +0.83 6.78
DXDLX Direxion Mthly Dev Mkts Bull 2X 34.53 +2.14 6.61
UNPIX ProFunds Ultra International Inv 11.60 +0.71 6.52
PMPIX ProFunds Precious Metals UltraSector Inv 27.63 +1.49 5.70
DXCLX Direxion Mthly Commodity Bull 2X 44.66 +2.06 4.84
WCPIX ProFunds UltraSector Mobile Telecom Inv 1.82 +0.08 4.60
UGPIX ProFunds UltraChina Inv 8.96 +0.39 4.55

 Losers
Ticker Name NAV $ Change
Nav $
One-day
return
UFPIX ProFunds UltraShort Latin America Inv 3.09 -0.25 -7.49
UVPIX ProFunds UltraShort Emerg Mkt Inv 2.20 -0.16 -6.78
UXPIX ProFunds UltraShort Intl Inv 13.75 -0.95 -6.46
DXDSX Direxion Mthly Dev Mkts Bear 2X 6.32 -0.38 -5.67
DXESX Direxion Mthly Emerg Mkts Bear 2X 1.74 -0.10 -5.43
UHPIX ProFunds UltraShort China Inv 10.17 -0.49 -4.60
SPPIX ProFunds Short Precious Metals Inv 9.36 -0.37 -3.80
PRGRX Prasad Growth 4.59 -0.18 -3.77
UKPIX ProFunds UltraShort Japan Inv 27.26 -0.98 -3.47
FOUSA06L1P ProFunds VP Short Emerging Markets 18.12 --- -3.41

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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