(0.18%) 5 164.25 points
(0.16%) 38 893 points
(0.14%) 18 027 points
(1.17%) $79.02
(-0.05%) $2.14
(0.80%) $2 327.10
(2.45%) $27.34
(0.86%) $973.60
(-0.03%) $0.929
(-0.29%) $10.84
(-0.28%) $0.795
(-0.19%) $91.28
-0.65% $ 39.22
Live Chart Being Loaded With Signals
Under normal circumstances, at least 80% of the fund's total assets (exclusive of any collateral held from securities lending) will be invested in the component securities of the index...
Stats | |
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Dzisiejszy wolumen | 3 960.00 |
Średni wolumen | 1 921.00 |
Kapitalizacja rynkowa | 6.29M |
Last Dividend | $0 ( N/A ) |
Next Dividend | $0 ( N/A ) |
P/E | 0 |
ATR14 | $0.926 (2.36%) |
Date | Person | Action | Amount | type |
---|---|---|---|---|
2015-12-31 | K4 Enterprises, Llc | Sell | 0 | Common Stock |
2016-10-18 | K4 Enterprises, Llc | Sell | 360 000 | Warrant |
2016-10-18 | K4 Enterprises, Llc | Sell | 500 000 | Warrant |
2016-10-18 | K4 Enterprises, Llc | Sell | 200 000 | Warrant |
2015-12-31 | K4 Enterprises, Llc | Sell | 3 333 333 | 8% Convertible Note |
INSIDER POWER |
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0.00 |
Last 5 transactions |
Buy: 0 | Sell: 4 393 333 |
Wolumen Korelacja
Salt High truBeta US Korelacja
10 Najbardziej pozytywne korelacje |
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10 Najbardziej negatywne korelacje |
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Did You Know?
Correlation is a statistical measure that describes the relationship between two variables. It ranges from -1 to 1, where -1 indicates a perfect negative correlation (as one variable increases, the other decreases), 1 indicates a perfect positive correlation (as one variable increases, the other increases), and 0 indicates no correlation (there is no relationship between the variables).
Correlation can be used to analyze the relationship between any two variables, not just stocks. It's commonly used in fields such as finance, economics, psychology, and more.
Salt High truBeta US Korelacja - Waluta/Towar
Financial Reports:
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Salt High truBeta US
Under normal circumstances, at least 80% of the fund's total assets (exclusive of any collateral held from securities lending) will be invested in the component securities of the index. The index uses an objective, rules-based methodology to measure the performance of an equal-weighted portfolio of approximately 100 large- and mid-capitalization U.S.-listed stocks with the highest forecasted systematic risk relative to the market (known as "beta"). The fund is non-diversified.
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