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SARK Invst Mgrs Srs Trust II AXS Short Innovation Daily ETF

29.67
-0.17 (-0.57%)
Last Updated: 12:44:50
Delayed by 15 minutes

Period:

Draw Mode:

Volume 1,069,712
Bid Price 29.67
Ask Price 29.68
News -
Day High 29.70

Low
24.95

52 Week Range

High
46.34

Day Low 28.65
Etf Name Etf Symbol Market Stock Type
Invst Mgrs Srs Trust II AXS Short Innovation Daily ETF SARK NASDAQ Exchange Traded Fund
  Price Change Price Change % Etf Price Last Trade
-0.17 -0.57% 29.67 12:44:50
Open Price Low Price High Price Close Price Previous Close
28.96 28.65 29.70 29.84
Trades Etfs Traded VWAP Financial Volume Average Volume 52 Week Range
6,989 1,069,712  29.39  31,440,534 - 24.95 - 46.34
Last Trade Type Quantity Price Currency
12:44:43 100  29.67 USD

Invst Mgrs Srs Trust II AXS Short Innovation Daily ETF Financials

Market Cap Shares in Issue Float Revenue Profit/Loss EPS PE Ratio
 209.93M - - - -
Short Interest Dividends Per Share Dividend Yield Ex-Div Date Insider B/S Insider % Owned
- - - -

more financials information »

News Invst Mgrs Srs Trust II ...

Real-Time news about Invst Mgrs Srs Trust II AXS Short Innovation Daily ETF (NASDAQ): 0 recent articles
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SARK Historical

Period † Open High Low VWAP Avg. Daily Vol Change %
1 Week30.7131.2028.6530.301,132,510-1.04-3.39%
1 Month28.7832.3027.5729.961,294,3460.893.09%
3 Months27.5032.3025.5728.001,417,8812.177.89%
6 Months39.6839.959924.9529.601,551,523-10.01-25.23%
1 Year45.9246.3424.9533.541,402,317-16.25-35.39%
3 Years30.0081.2124.9548.252,339,353-0.33-1.10%
5 Years30.0081.2124.9548.252,339,353-0.33-1.10%

Tuttle Capital Short Innovation ETF seeks to provide investment results that are approximately the inverse (or opposite) of, before fees and expenses, to the daily price and yield performance of the ARK Innovation ETF The Fund is an actively managed exchange traded fund that attempts to achieve the inverse of the return of the ARK Innovation ETF for a single day, not for any other period, by entering into a swap agreement on the ARK Innovation ETF. A single day is measured from the time the Fund calculates its net asset value (NAV) to the time of the Fund's next NAV calculation.

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