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TSLQ Investment Managers Series Trust II Tradr TSLA Bear Daily ETF

36.28
0.24 (0.67%)
Jun 04 2024 - Closed
Delayed by 15 minutes

Period:

Draw Mode:

Volume 1,766,217
Bid Price 35.91
Ask Price 36.40
News -
Day High 36.53

Low
26.25

52 Week Range

High
47.92

Day Low 35.78
Company Name Etf Ticker Symbol Market Type
Investment Managers Series Trust II Tradr TSLA Bear Daily ETF TSLQ NASDAQ Exchange Traded Fund
  Price Change Change Percent Etf Price Last Traded
0.24 0.67% 36.28 19:59:57
Open Price Low Price High Price Close Price Prev Close
36.39 35.78 36.53 36.38 36.04
Trades Volume VWAP Dollar Volume Avg Volume 52 Week Range
13,583 1,766,217  36.20  63,944,443 - 26.25 - 47.92
Last Trade Time Type Quantity Etf Price Currency
19:59:49 30  36.30 USD

Investment Managers Series Trust II Tradr TSLA Bear Daily ETF Financials

Market Cap Shares in Issue Float Revenue Profit/Loss EPS PE Ratio
 107.39M - - - -
Short Interest Dividends Per Share Dividend Yield Ex-Div Date Insider B/S Insider % Owned
- - - -

more financials information »

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TSLQ Historical

Period Open High Low VWAP Avg. Daily Vol Change %
1 Week36.0036.6234.7535.821,851,9790.280.78%
1 Month35.0638.07534.05536.081,876,7341.223.48%
3 Months38.0947.9231.9138.653,025,837-1.81-4.75%
6 Months33.5447.9226.2535.713,359,5452.748.17%
1 Year39.4947.9226.2534.912,978,271-3.21-8.13%
3 Years50.5493.8926.2540.562,378,780-14.26-28.22%
5 Years50.5493.8926.2540.562,378,780-14.26-28.22%

The AXS TSLA Bear Daily ETF seeks daily investment results, before fees and expenses, that correspond to the inverse (-100%) of the daily performance of the common shares of Tesla, Inc. The Fund will maintain at least 80 percent exposure to financial instruments that provide inverse exposure to the daily performance of TSLA. The Fund is an actively-managed exchange-traded fund (ETF) that seeks to achieve on a daily basis, before fees and expenses, -100 percent performance of TSLA for a single day, not for any other period, by entering into one or more swap agreements on TSLA. A single day is measured from the time the Fund calculates its net asset value (NAV) to the time of the Funds next NAV calculation.

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