Last Updated: January 22, 2018

Name
Category
Inception Date
Since Incep.
1 Mo
3 Mo
YTD
1 Yr
3 Yr
5 Yr
Volatility (1 Yr)
Internet 5 Sector/Industry 03/11/2001 16.20% 8.03% 11.69% 9.29% 53.50% 27.10% 23.91% 15.46%
Foreign Small Cap Geographic 09/15/2008 12.71% 8.76% 7.69% 6.97% 51.19% 23.66% 16.40% 13.72%
China Select Geographic 09/28/2008 11.29% 7.93% 9.96% 8.29% 51.00% 14.22% 14.41% 14.94%
Latin America Geographic 04/05/2000 12.36% 7.39% 9.65% 6.90% 46.87% 19.76% 10.69% 19.27%
Internet Sector/Industry 04/05/2000 1.88% 6.57% 9.97% 8.09% 43.59% 17.65% 20.31% 13.08%
Analyst Growth Strategy 09/07/2000 6.55% 8.62% 12.37% 9.37% 40.89% 14.36% 15.27% 12.00%
BRIC Geographic 09/15/2008 5.37% 8.33% 8.40% 8.45% 40.24% 10.32% 5.68% 15.17%
Zacks Momentum Anomaly Strategy 10/31/2011 25.13% 5.86% 4.83% 7.37% 39.73% 16.93% 22.88% 19.33%
Technology Sector/Industry 04/05/2000 1.91% 6.64% 10.54% 7.48% 39.23% 15.53% 16.68% 10.66%
Large-Cap Growth Investment Style 04/05/2000 3.58% 8.58% 14.05% 8.53% 38.00% 13.05% 16.23% 9.43%
Folio 100 Market Index 04/05/2000 4.39% 6.96% 13.53% 8.11% 37.83% 18.76% 21.40% 10.79%
Asia Geographic 04/05/2000 4.05% 5.71% 12.93% 5.15% 37.52% 11.84% 10.44% 10.47%
Emerging Markets 50 Geographic 09/15/2008 5.29% 8.70% 8.47% 8.74% 37.48% 9.94% 5.11% 13.18%
Aggressive Investment Style 04/05/2000 6.91% 7.29% 13.70% 7.90% 36.75% 16.62% 15.88% 8.93%
Aerospace Sector/Industry 04/05/2000 17.10% 4.30% 5.73% 4.36% 36.58% 18.88% 23.37% 12.29%
Dow Jones Industrial Average (Total Return) 6.00% 13.00% 6.14% 36.04% 16.92% 16.47% 6.96%
Construction Sector/Industry 04/05/2000 10.63% 5.79% 15.89% 5.02% 35.51% 22.24% 15.94% 12.52%
Folio 30 Market Index 04/05/2000 7.45% 5.99% 12.96% 6.14% 35.36% 16.57% 16.71% 6.84%
NASDAQ Composite (Price Return) 6.44% 11.75% 7.31% 33.35% 15.89% 18.61% 9.79%
International Geographic 04/05/2000 4.07% 4.80% 7.79% 4.33% 33.00% 10.27% 9.43% 8.81%
Analyst Selections Strategy 09/07/2000 3.75% 7.02% 9.99% 7.65% 32.89% 12.76% 15.51% 10.33%
Dow Jones Industrial Average (Price Return) 5.90% 12.37% 6.05% 32.22% 14.03% 13.72% 6.80%
Conservative Investment Style 04/05/2000 11.35% 5.18% 7.65% 5.05% 31.98% 16.16% 16.91% 8.88%
Mid-Cap Growth Investment Style 04/05/2000 8.26% 3.20% 6.38% 3.44% 31.90% 13.23% 13.66% 11.47%
Multi-Sector Sector/Industry 04/05/2000 6.00% 5.70% 9.69% 5.84% 31.64% 12.74% 13.51% 6.82%
Global Geographic 04/05/2000 4.24% 6.93% 11.39% 7.02% 31.16% 11.37% 13.46% 7.79%
Biotechnology Sector/Industry 04/05/2000 11.02% 8.91% 4.21% 9.36% 31.07% 6.41% 22.77% 18.51%
Military Procurement Strategy 06/06/2003 16.29% 5.95% 9.19% 6.11% 30.79% 20.13% 25.46% 9.03%
Basic Materials Sector/Industry 04/05/2000 9.89% 6.81% 12.36% 6.04% 30.58% 12.82% 6.93% 11.04%
Global ETF Geographic 12/10/2001 8.87% 6.53% 9.83% 6.34% 29.99% 11.17% 10.91% 7.14%
Japan Geographic 11/21/2000 2.42% 8.09% 15.24% 8.78% 29.97% 14.37% 11.72% 9.03%
Banks Sector/Industry 04/05/2000 6.46% 7.99% 11.62% 8.06% 29.44% 12.48% 10.60% 11.47%
Price-to-Sales Fundamental 09/22/2008 7.87% 7.50% 13.40% 7.75% 29.31% 11.70% 12.17% 8.26%
Zacks Small Cap Anomaly Strategy 10/31/2011 9.36% 3.63% 23.57% 3.29% 29.30% 6.77% 5.77% 18.30%
Financial Sector/Industry 04/05/2000 4.65% 6.03% 10.03% 6.10% 29.27% 12.91% 12.25% 10.33%
International 100 Geographic 11/19/2008 9.85% 7.03% 9.12% 6.78% 29.25% 7.79% 6.64% 8.81%
Small-Cap Growth Investment Style 04/05/2000 6.41% 0.53% 6.25% 0.15% 28.94% 11.83% 15.83% 14.01%
Western Pacific Rim Geographic 08/06/2009 13.10% 6.68% 11.16% 4.78% 28.72% 14.29% 11.43% 11.53%
European Oil and Gas Geographic 11/18/2008 6.54% 7.65% 14.65% 6.38% 28.41% 10.12% 5.74% 13.18%
Euroland Geographic 11/18/2008 7.74% 6.33% 4.52% 6.70% 28.39% 8.19% 6.71% 11.35%
Folio 50 Market Index 04/05/2000 4.07% 5.95% 11.62% 6.50% 28.24% 15.47% 16.53% 7.37%
Large-Cap ETF Market Index 12/10/2001 8.16% 5.75% 10.56% 6.00% 27.70% 13.43% 16.03% 6.78%
Growth ETF Investment Style 12/10/2001 9.38% 5.65% 9.48% 5.75% 27.57% 12.05% 14.74% 8.40%
Europe 100 Geographic 11/17/2008 9.07% 6.42% 7.97% 5.80% 27.57% 6.49% 6.60% 8.89%
S&P 500 (Total Return) 5.70% 10.53% 6.05% 27.23% 13.70% 16.03% 6.82%
Developed Markets 100 Geographic 09/15/2008 4.82% 6.55% 9.16% 6.21% 26.82% 7.28% 6.91% 8.54%
Wine Beer and Spirits Sector/Industry 06/06/2003 16.06% 2.90% 6.18% 1.81% 26.29% 11.17% 10.50% 9.63%
Zacks Analyst Anomaly Strategy 10/31/2011 15.39% 3.72% 5.13% 5.36% 26.28% 4.30% 10.09% 18.08%
Analyst Upgrades Strategy 09/07/2000 11.42% 2.90% 8.70% 2.65% 25.88% 10.31% 14.19% 9.40%
Large-Cap Blend Investment Style 10/26/2000 6.31% 5.43% 10.32% 5.68% 25.62% 13.27% 14.51% 8.90%
BetterInvesting Top 100 Strategy 08/04/2009 16.08% 6.35% 12.46% 6.76% 25.38% 13.42% 16.61% 7.13%
Price-to-Book Fundamental 09/22/2008 6.38% 6.23% 10.72% 6.48% 25.21% 11.31% 10.24% 8.17%
Healthcare Sector/Industry 04/05/2000 10.01% 7.33% 4.97% 7.49% 25.04% 5.33% 14.94% 9.11%
Africa Geographic 04/05/2000 10.22% 9.37% 16.85% 5.59% 24.81% 4.21% 0.77% 14.76%
S&P 500 (Price Return) 5.58% 10.01% 5.96% 24.73% 11.34% 13.63% 6.84%
Transport Sector/Industry 04/05/2000 9.87% 6.35% 14.28% 6.92% 24.65% 8.86% 15.99% 13.85%
MarketGlide 2050 Strategy 08/12/2009 11.87% 5.10% 8.53% 4.98% 24.48% 10.96% 11.70% 6.13%
Dividend Yield Fundamental 09/22/2008 7.81% 5.22% 9.05% 5.12% 24.29% 10.57% 10.70% 6.35%
Mid-Cap Value Investment Style 04/05/2000 10.77% 3.22% 8.82% 3.41% 23.97% 9.80% 13.37% 12.56%
MarketGlide 2045 Strategy 08/12/2009 11.71% 4.98% 8.34% 4.85% 23.95% 10.75% 11.48% 5.96%
Wilshire 5000 (Price Return) 5.48% 9.80% 5.75% 23.79% 10.82% 13.25% 7.03%
Zacks Value Anomaly Strategy 10/31/2011 12.48% 5.71% 11.79% 6.02% 23.46% 4.89% 10.31% 14.26%
Small-Cap Value Investment Style 04/05/2000 10.62% 5.61% 11.18% 5.21% 23.28% 14.78% 16.01% 12.28%
MarketGlide 2040 Strategy 08/12/2009 11.41% 4.77% 7.99% 4.62% 22.91% 10.32% 11.05% 5.68%
Long-term Aggressive Asset Allocation 08/24/2012 10.27% 4.57% 8.02% 3.96% 22.38% 8.98% 10.68% 6.67%
Target 2050 Aggressive Target Date 07/14/2010 8.94% 5.95% 9.13% 5.41% 21.75% 9.37% 7.85% 8.32%
Target 2055 Aggressive Target Date 07/14/2010 8.96% 5.95% 9.13% 5.41% 21.74% 9.37% 7.87% 8.32%
Target 2060 Aggressive Target Date 07/14/2010 8.96% 5.95% 9.13% 5.41% 21.74% 9.37% 7.87% 8.32%
Target 2045 Aggressive Target Date 12/21/2007 5.64% 5.86% 9.27% 5.36% 21.73% 9.49% 7.84% 8.02%
Target 2055 Moderate Target Date 07/14/2010 9.16% 5.86% 9.27% 5.36% 21.73% 9.49% 7.85% 8.02%
Target 2060 Moderate Target Date 07/14/2010 8.97% 5.86% 9.27% 5.36% 21.73% 9.49% 7.85% 8.02%
MarketGlide 2035 Strategy 08/12/2009 11.00% 4.45% 7.45% 4.27% 21.49% 9.71% 10.49% 5.25%
Target 2050 Moderate Target Date 07/14/2010 9.52% 5.62% 9.01% 5.10% 21.08% 9.35% 8.13% 7.90%
Target 2040 Aggressive Target Date 12/21/2007 5.48% 5.66% 9.14% 5.11% 20.92% 9.24% 7.82% 7.81%
Target 2045 Moderate Target Date 12/21/2007 5.56% 5.66% 9.14% 5.11% 20.91% 9.24% 7.90% 7.81%
Small-Cap ETF Market Index 12/10/2001 9.95% 4.48% 8.17% 4.57% 20.85% 11.65% 14.02% 10.10%
Target 2035 Aggressive Target Date 12/21/2007 5.45% 5.56% 8.97% 5.05% 20.83% 9.25% 7.64% 7.72%
Target 2030 Aggressive Target Date 12/21/2007 5.47% 5.39% 8.94% 4.85% 20.38% 9.03% 7.59% 7.19%
Target 2040 Moderate Target Date 12/21/2007 5.22% 5.39% 8.94% 4.85% 20.38% 9.03% 7.12% 7.19%
Value ETF Investment Style 12/10/2001 9.81% 4.53% 8.69% 4.62% 19.99% 12.00% 15.12% 8.26%
IPO Candy Strategy 07/28/2010 3.67% 3.50% 2.67% 4.06% 19.85% 1.19% 4.21% 9.93%
Personal Finance Growth Strategy 08/08/2011 12.11% 6.25% 11.30% 6.26% 19.54% 9.37% 11.21% 10.11%
MarketGlide 2030 Strategy 08/12/2009 10.38% 3.98% 6.68% 3.78% 19.38% 8.83% 9.60% 4.67%
Target 2035 Moderate Target Date 12/21/2007 5.07% 5.22% 8.70% 4.61% 19.14% 8.27% 6.69% 6.86%
Tiny Titans 101 Strategy 10/19/2010 6.09% 5.37% 14.14% 5.03% 19.14% 12.98% 16.35% 16.70%
Target 2025 Aggressive Target Date 12/21/2007 4.96% 5.21% 8.65% 4.61% 19.08% 8.25% 6.85% 6.86%
Target 2055 Conservative Target Date 07/14/2010 8.13% 4.52% 8.06% 4.09% 19.08% 9.11% 6.82% 6.52%
Target 2060 Conservative Target Date 07/14/2010 8.13% 4.52% 8.06% 4.09% 19.08% 9.11% 6.82% 6.52%
Large-Cap Value Investment Style 04/05/2000 4.36% 5.63% 8.81% 5.91% 18.93% 9.28% 13.23% 7.97%
Zacks Multi-Anomaly Strategy 10/31/2011 0.41% 2.51% 16.34% 3.01% 18.76% -15.95% -5.63% 21.08%
Russell 2000 (Price Return) 4.03% 6.36% 4.54% 18.74% 10.51% 12.34% 11.86%
Basic Long-term Aggress Asset Allocation 10/07/2005 8.46% 3.53% 6.29% 3.28% 18.61% 8.91% 11.69% 6.85%
Target 2050 Conservative Target Date 07/14/2010 8.12% 4.33% 7.83% 3.92% 18.33% 8.93% 6.64% 6.38%
Small-Cap Blend Investment Style 10/26/2000 11.77% 2.84% 1.40% 2.89% 18.27% 13.32% 13.85% 13.52%
Sector ETF Sector/Industry 12/10/2001 8.31% 3.91% 7.30% 3.89% 18.13% 10.44% 13.61% 6.59%
Consumer Staples Sector/Industry 04/05/2000 11.21% 2.29% 6.65% 1.86% 17.80% 9.86% 12.13% 8.35%
Target 2045 Conservative Target Date 12/21/2007 5.40% 4.21% 7.60% 3.79% 17.49% 8.46% 6.62% 6.17%
Mid-Cap Blend Investment Style 10/26/2000 9.69% 4.05% 8.07% 4.52% 17.45% 10.28% 15.70% 11.25%
Defensive Strategy Strategy 02/28/2008 11.83% 3.60% 8.74% 3.70% 17.36% 9.97% 15.95% 6.40%
Long-term Moderate Asset Allocation 08/24/2012 6.94% 3.93% 7.08% 3.04% 17.22% 6.57% 7.10% 5.78%
MarketGlide 2025 Strategy 08/12/2009 9.59% 3.43% 5.84% 3.19% 17.18% 7.83% 8.58% 4.01%
Target 2030 Moderate Target Date 12/21/2007 4.76% 4.61% 7.97% 3.96% 16.99% 7.41% 5.76% 6.37%
Telecomms Sector/Industry 04/05/2000 -0.56% 2.75% 5.16% 3.17% 16.91% 5.09% 6.99% 9.69%
Target 2020 Aggressive Target Date 12/21/2007 4.31% 4.62% 7.92% 3.97% 16.90% 7.39% 5.85% 6.37%
International Telecom 35 Geographic 11/17/2008 7.11% 4.22% 4.46% 4.06% 16.84% 2.74% 5.30% 9.68%
Consumer Staples 5 Sector/Industry 03/11/2001 8.29% 2.78% 2.18% 2.28% 16.57% 6.92% 7.68% 8.24%
Target 2025 Moderate Target Date 12/21/2007 4.69% 4.45% 7.75% 3.84% 16.53% 7.37% 5.43% 5.98%
Medium-term Aggressive Asset Allocation 08/24/2012 6.85% 3.74% 6.88% 2.89% 16.47% 6.41% 7.02% 5.59%
VizMetrics Permanent Plus Strategy 7.09% 3.35% 5.41% 2.14% 16.30% 5.20% - 5.70%
High Income Investment Style 09/07/2000 11.03% 3.96% 7.98% 3.86% 16.04% 10.03% 11.37% 7.53%
Moderate Investment Style 04/05/2000 10.82% 1.91% 1.34% 2.49% 15.47% 11.28% 16.26% 12.04%
MyPlanIQ SAA Growth Investment Style 08/12/2010 6.72% 3.31% 4.31% 2.31% 15.22% 5.41% 5.34% 4.62%
Basic Med-term Aggress Asset Allocation 10/07/2005 7.82% 2.73% 4.99% 2.48% 15.21% 7.46% 9.72% 5.46%
Target 2015 Aggressive Target Date 12/21/2007 3.85% 4.00% 6.97% 3.40% 15.02% 6.84% 5.01% 5.76%
Basic Long-term Mod Asset Allocation 10/07/2005 7.82% 2.70% 4.92% 2.44% 15.00% 7.35% 9.66% 5.23%
MarketGlide 2020 Strategy 08/12/2009 8.66% 2.88% 4.94% 2.61% 14.80% 6.79% 7.47% 3.46%
CWM Global Market Strategy 07/28/2014 5.68% 2.95% 4.64% 2.59% 14.70% 6.36% - 4.31%
Target 2040 Conservative Target Date 12/21/2007 4.88% 3.61% 6.61% 3.12% 14.68% 7.16% 5.58% 5.72%
Long-term Conservative Asset Allocation 08/24/2012 6.32% 3.18% 5.99% 2.37% 14.68% 5.86% 6.52% 5.03%
Energy Sector/Industry 04/05/2000 8.82% 8.84% 17.26% 7.69% 14.40% 5.20% 2.81% 13.89%
Basic Long-term Conserv Asset Allocation 10/07/2005 7.36% 2.55% 4.63% 2.32% 14.17% 6.91% 8.72% 4.66%
Target 2020 Moderate Target Date 12/21/2007 4.49% 3.86% 6.90% 3.25% 14.16% 6.57% 5.00% 5.53%
Target 2035 Conservative Target Date 12/21/2007 4.61% 3.62% 6.56% 3.15% 14.15% 6.83% 4.85% 5.33%
Target 2010 Aggressive Target Date 12/21/2007 3.85% 3.62% 6.49% 3.15% 14.05% 6.80% 4.81% 5.33%
Dogs of the Dow Strategy 04/05/2000 8.93% 3.84% 2.64% 3.91% 13.70% 12.78% 15.78% 7.46%
Medium-term Moderate Asset Allocation 08/24/2012 5.84% 2.93% 5.58% 2.19% 13.62% 5.62% 6.04% 4.66%
Target 2030 Conservative Target Date 12/21/2007 4.44% 3.54% 6.35% 3.06% 13.50% 6.30% 4.60% 4.94%
MarketGlide 2015 Strategy 08/12/2009 7.77% 2.43% 4.21% 2.14% 12.96% 5.95% 6.50% 3.06%
MyPlanIQ SAA Balanced Investment Style 08/12/2010 5.31% 2.41% 3.65% 1.96% 12.90% 4.70% 3.97% 3.59%
MyPlanIQ SAA Moderate Investment Style 08/12/2010 5.73% 2.62% 3.48% 1.87% 12.50% 4.91% 4.45% 3.55%
Target 2025 Conservative Target Date 12/21/2007 4.36% 3.24% 5.66% 2.80% 12.35% 5.74% 4.14% 4.28%
MarketGlide 2010 Strategy 08/12/2009 7.08% 2.16% 3.79% 1.84% 11.88% 5.45% 5.83% 2.83%
Basic Med-term Mod Asset Allocation 10/07/2005 7.00% 1.84% 3.45% 1.51% 11.84% 5.81% 7.69% 4.12%
Target 2020 Conservative Target Date 12/21/2007 3.94% 3.06% 5.45% 2.61% 11.82% 5.55% 3.78% 4.09%
Target 2015 Conservative Target Date 12/21/2007 3.80% 2.82% 4.93% 2.42% 11.80% 5.55% 3.38% 3.79%
Target 2015 Moderate Target Date 12/21/2007 4.16% 2.95% 5.56% 2.41% 11.62% 5.83% 4.00% 4.85%
Target 2010 Moderate Target Date 12/21/2007 4.14% 2.79% 5.14% 2.33% 11.41% 5.75% 4.00% 4.29%
Target 2010 Conservative Target Date 12/21/2007 4.21% 2.39% 4.11% 1.90% 10.90% 4.71% 3.35% 3.55%
Medium-term Conservative Asset Allocation 08/24/2012 5.21% 1.92% 4.06% 1.23% 10.74% 4.70% 5.44% 4.00%
Short-term Aggressive Asset Allocation 08/24/2012 4.74% 1.61% 3.46% 0.96% 10.14% 4.41% 4.97% 3.65%
MyPlanIQ SAA Conservative Investment Style 08/12/2010 4.26% 1.73% 2.53% 1.24% 9.86% 3.62% 3.29% 3.10%
Basic Med-term Conserv Asset Allocation 10/07/2005 6.39% 1.34% 2.69% 1.03% 9.75% 4.95% 6.42% 3.43%
Top Ten Buys Strategy 03/11/2001 7.27% 3.50% 9.43% 4.66% 9.68% 1.37% 8.47% 10.78%
Global Bond Bond 09/07/2000 7.28% 0.71% 1.38% 0.23% 9.03% 5.04% 2.39% 4.43%
FFCM ETF Absolute Return Strategy 02/08/2013 2.75% 2.23% 3.37% 1.76% 8.84% 3.74% - 3.83%
Low Volatility ETF Strategy 02/26/2008 4.90% 2.03% 2.99% 1.57% 8.09% 3.90% 4.63% 3.00%
Australia and New Zealand Geographic 07/18/2007 -4.07% 5.31% 2.31% 3.36% 7.99% -0.17% -1.31% 14.92%
Short-term Moderate Asset Allocation 08/24/2012 4.11% 1.30% 3.08% 0.78% 7.98% 3.73% 4.35% 3.30%
Basic Short-term Aggress Asset Allocation 10/07/2005 5.76% 0.75% 1.68% 0.39% 7.62% 3.88% 5.10% 2.86%
Utility 5 Sector/Industry 03/11/2001 7.21% -4.34% -6.11% -5.01% 7.60% 3.02% 8.70% 10.84%
Utility Sector/Industry 04/05/2000 8.45% -2.99% -6.49% -3.43% 7.51% 3.82% 10.28% 8.76%
Basic Short-term Mod Asset Allocation 10/07/2005 5.15% 0.59% 1.38% 0.26% 6.83% 3.43% 4.18% 2.63%
Residential REIT Sector/Industry 11/09/2000 13.78% -4.60% -5.34% -5.61% 6.80% 11.21% 13.19% 10.79%
MyPlanIQ SAA Very Cons Investment Style 08/12/2010 3.21% 0.76% 1.11% 0.45% 5.83% 2.41% 2.19% 2.06%
High-Yield Bond Bond 09/07/2000 4.38% 0.57% 0.10% 0.28% 5.50% 4.50% 3.90% 3.45%
Short-term Conservative Asset Allocation 08/24/2012 2.99% 0.57% 1.82% 0.01% 5.37% 2.48% 3.16% 3.25%
Industrial-Office REIT Sector/Industry 11/09/2000 9.03% -1.66% -1.33% -3.01% 5.22% 7.09% 9.31% 11.30%
Low Volatility Strategy 02/26/2008 5.00% 1.49% 2.51% 1.10% 5.17% 3.07% 3.89% 3.06%
Corporate Bond Bond 09/07/2000 4.39% -0.40% 0.02% -0.94% 4.65% 2.42% 2.73% 3.06%
Basic Short-term Conserv Asset Allocation 10/07/2005 4.68% -0.07% 0.39% -0.44% 4.45% 2.43% 3.16% 2.49%
REITs Sector/Industry 04/05/2000 10.97% -2.72% -2.49% -4.08% 4.17% 3.22% 7.74% 9.70%
Municipal Bond Bond 01/15/2001 4.33% 0.16% -0.34% -0.43% 3.57% 1.92% 2.16% 2.12%
Precious Metals Sector/Industry 06/25/2009 1.06% 5.67% 3.85% 3.00% 3.14% -4.07% -9.54% 13.53%
Bond ETF Bond 07/31/2002 4.55% -0.47% -0.43% -1.00% 2.87% 1.69% 1.93% 2.98%
Government Bond Bond 09/07/2000 4.25% -0.66% -0.60% -1.23% 1.47% 0.51% 1.17% 3.59%
Retail REIT Sector/Industry 11/09/2000 12.35% -2.21% -0.52% -4.24% -10.69% -3.64% 4.44% 17.95%
Bear Market 1X Strategy 02/21/2008 -11.23% -3.70% -6.54% -4.14% -15.67% -10.60% -12.41% 6.94%
Bear Market 1.5X Strategy 02/21/2008 -19.67% -6.31% -11.61% -6.78% -26.80% -18.08% -20.11% 10.06%
Bear Market 2X Strategy 02/21/2008 -29.86% -9.89% -17.93% -10.57% -39.30% -27.55% -30.10% 15.32%

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