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WDRW  Direxion Daily Regional Banks Bear…
Exchange-Traded Fund
NYSE Arca

Morningstar Summary

Ratings & Reports

  • Overall
    as of --
    Star Rating: 0Not Rated
    Out of -- funds
  • 3 Year
    Star Rating: 0Not Rated
    Out of -- funds
  • 5 Year
    Star Rating: 0Not Rated
    Out of -- funds
  • 10 Year
    Star Rating: 0Not Rated
    Out of -- funds

Historical Risk

  • Low
  • Below Average
  • Avg
  • Above Average
  • High

Historical Return

  • Low
  • Below Average
  • Avg
  • Above Average
  • High

Morningstar Style Box

Market Cap vs. Investment Style
Selected Values: Undefined
Value
Blend
Growth
Large
Mid
Small

Price Movement of WDRW

Chart for Price Movement
WDRW is up 3.61% over the last 3 days.
Bid/Ask1$38.00 / --
Open$37.93
Previous Close$36.72
Day Low/High
Last Price
$38.85  45% or $0.92 from its Day low
$37.93
$39.94
52 Week Range
Last Price
$38.85  6% or $1.09 from its 52 Week high
$19.69
6/07/2018
$39.94
12/10/2018
Price/Earnings--
Price/Cash Flow--
Price/Revenue--

Fund Detail

as of 11/30/2018

Profile

Profile
Total Net Assets$3.0 M
Premium/Discount-0.22%
Portfolio Turnover0.00%
Total Holdings9
Fund TypeETF
Transaction FeeYes

Distributions and Yield

Distributions and Yield
Distribution Yield0.36%
Most Recent Dividend$0.0589
Previous Pay Date10/02/2018
Ex-Date9/25/2018
Distribution FrequencyQuarterly
SEC Yield--

Total Returns

as of 11/30/2018

Standardized Returns

Standardized Returns: Monthly
Description3 Month1 Year3 Year5 Year10 YearInception3 Month1 Year3 Year5 Year10 YearInception3 Month1 Year3 Year5 Year10 YearInception
WDRW Market Price
63.61%22.15%-38.61%-----39.89%33.46%1.01%-42.64%-----43.64%5.58%-28.14%-50.99%-----47.94%
WDRW NAV
68.99%20.23%-39.40%-----39.89%36.18%-2.54%-41.88%-----43.78%5.47%-28.35%-50.58%-----47.93%
Trading--Inverse Equity
Morningstar Category
------------0.26%-24.20%-16.81%-30.49%-20.82%--0.85%-14.46%-21.11%-29.79%-20.40%--
S&P 500
Index
-5.86%4.55%11.09%10.61%14.30%10.58%-4.40%6.27%12.16%11.12%14.32%10.63%7.71%17.91%17.31%13.95%11.97%10.79%
View Performance >

Top 5 Holdings

as of 11/30/2018
Top 5 Holdings
--S&P Reg Bnk Sel Ind Index41.46%
--S&P Reg Bnk Sel Ind Index4.44%
--S&P Reg Bnk Sel Ind Index1.44%
Total
47.34%
More Holdings >

Top Sectors

Sectors data unavailable
Top SectorsTop Sectors
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Additional Trading Options
Fund Highlights
Fund Strategy
The investment seeks daily investment results- before fees and expenses- of 300% of the inverse of the daily performance of the S&P Regional Banks Select Industry Index. The fund invests in swap agreements- futures contracts- short positions or other financial instruments that- in combination- provide inverse or short leveraged exposure to the index equal to at least 80% of the fund's net assets (plus borrowing for investment purposes). The index is a modified equal-weighted index that is designed to measure performance of the stocks comprising the S&P Total Market Index that are classified in the GICS regional banks sub-industry. It is non-diversified.
Morningstar Category
These funds seek to generate returns equal to an inverse fixed multiple of short-term returns of an equity index. The compounding of short-term returns results in performance that does not correspond to those of investing in the index with external leverage. For example, a fund attempting to achieve negative 2 times the returns of a given index on a daily basis is unlikely to deliver anything like negative 2 times the index's returns over periods longer than one day. Many of these funds seek to generate a multiple typically negative 1 to negative 3 times the daily or weekly return of the reference index. Trading funds are not considered suitable for a long-term investor and are designed to be used by active traders.
  • Inception Date
    08/19/2015
  • 1.07%
    Net Expense may include reimbursements or fee waivers, which may be voluntary or contractual and may expire. See prospectus for more details.
  • Gross Expense Ratio
    2.27%
  • Index Fund
    Yes
  • Leveraged Fund
    Yes
  • Socially Conscious
    No
  • Actively Managed
    No
  • Fund Family
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