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OILD  ProShares UltraPro 3x Short Crude …
Exchange-Traded Fund
NYSE Arca

Historical Distributions

as of 5/24/2019
Historical Distribution Chart

Most Recent Distribution Paid Per Share
 

Most Recent Distribution Paid Per Share: Annually
 TypeAmountPayable DateReinvestment PriceAnnualized Yield
Dividend Income--------
Short Term Capital Gain--------
Long Term Capital Gain--------

Distribution Summary

Per Share
Distribution Summary
Distribution TypeDistribution Yield (TTM)Most Recent DistributionPrevious Pay DateEx-DateDistribution Frequency30-Day SEC Yield
--0.00%----Annually--
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Additional Trading Options
Fund Highlights
Fund Strategy
The investment seeks daily investment results, before fees and expenses, that correspond to three times (3x) the daily performance of the Bloomberg WTI Crude Oil SubindexSM. The underlying index reflects the performance of the price of West Texas Intermediate sweet, light crude oil futures contracts traded on the NYMEX. The fund seeks to meet its investment objective by investing, under normal market conditions, in futures contracts for WTI sweet, light crude oil listed on the NYMEX, ICE Futures U.S. or other U.S. exchanges and listed options on such contracts.
Morningstar Category
These funds seek to generate returns equal to an inverse multiple of short-term returns of a commodity 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 of 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
    03/24/2017
  • 0.49%
    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
    1.10%
  • Index Fund
    Yes
  • Leveraged Fund
    Yes
  • Socially Conscious
    No
  • Actively Managed
    No
  • Fund Family
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