| Basics |
|
Inverse Vix Short-Term Futures Etns Due March 22, 2045 |
| IPO Date: |
March 20, 2025 |
| Sector: |
Volatility |
| Activated in VL: |
True |
| Average Daily Range |
| Avg Daily Range: |
$0.11 | 0.48%
|
| Avg Daily Range (30 D): |
$0.04 | 0.15%
|
| Avg Daily Range (90 D): |
$0.06 | 0.24%
|
| Institutional Daily Volume |
| Avg Daily Volume: |
M |
| Avg Daily Volume (30 D): |
.01M |
| Avg Daily Volume (90 D): |
M |
| Trade Size |
| Avg Trade Size (Sh.): |
510 |
| Avg Trade Size (Sh.) (30 D): |
3,208 |
| Avg Trade Size (Sh.) (90 D): |
1,514 |
| Institutional Trades |
| Total Inst.Trades: |
21 |
| Avg Inst. Trade: |
$1.04M |
| Avg Inst. Trade (30 D): |
$1.29M |
| Avg Inst. Trade (90 D): |
$1.2M |
| Avg Inst. Trade Volume: |
.04M |
| Avg Inst. Trades (Per Day): |
1 |
| Market Closing Trades |
| Avg Closing Trade: |
$M |
| Avg Closing Trade (30 D): |
$M |
| Avg Closing Trade (90 D): |
$M |
| Avg Closing Volume: |
K |
|
|
| Financials |
| |
TTM |
Q2 2025 |
Q1 2025 |
|
Basic EPS
|
$5.08
|
$5.25
|
$5.08
|
|
Diluted EPS
|
$5.07
|
$5.24
|
$5.07
|
|
Revenue
|
$ 46.43B
|
$ 44.91B
|
$ 45.31B
|
|
Gross Profit
|
$
|
$
|
$
|
|
Net Income / Loss
|
$ 14.39B
|
$ 14.99B
|
$ 14.64B
|
|
Operating Income / Loss
|
$ 18.74B
|
$ 18.28B
|
$ 18.41B
|
|
Cost of Revenue
|
$
|
$
|
$
|
|
Net Cash Flow
|
$ -116891M
|
$ -5576M
|
$ -43414M
|
|
PE Ratio
|
5.40
|
|
|
|
|
|