| 36.81 Data as of 11:35am ET | +0.61 / +1.67%Today’s Change | 32.88 Today|||52-Week Range 37.24 | +4.80% Year-to-Date |
The investment seeks to replicate, net of expenses, the performance of the Barclays Capital US Treasury 2Y/10Y Yield Curve index. The index employs a strategy that seeks to capture returns that are potentially available from a "steepening" or "flattening", as applicable, of the U.S. Treasury yield curve through a notional rolling investment in U.S. Treasury note futures contracts. The level of the index is designed to increase in response to a "steepening" of the yield curve and to decrease in response to a "flattening" of the yield curve.
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| 1 month | +5.62% | 3 years | -- | |
| 3 months | +2.51% | 5 years | -- | |
| 1 year | +3.22% | Since inception | -10.33% |
| Previous close | $36.20 |
| Open day’s range | 36.71 – 36.81 |
| Net asset value (NAV) | 36.62 (06/17/2013) |
| Daily volume | 850 |
| Average volume (3 months) | 4,665 |
| STPP | Category | |
|---|---|---|
| Performance 5-yr return | -- | -- |
| Expense Gross exp ratio | 0.75% | 0.82% |
| Risk 5 year sharpe ratio | -- | 0.01 |
| Net assets | $10.3M | $45.0M |
| Average market cap | -- | -- |
| Average P/E | -- | -- |
| Dividend / Share | -- | 0.20% |
| No competitors data available. |
| Business service | -- |
| Consumer goods | -- |
| Consumer service | -- |
| Energy | -- |
| Financial service | -- |
| Holdings not available. |