Volatility Shares Trust - Volatility Premium Plus ETF
Save
–
Market cap
–
Current P/E
–
Forward P/E
About
Financial Services
Sector
Asset Management
Industry
ZVOL aims to provide a monthly income stream and daily inverse exposure to mid-term VIX futures with an average term-to-maturity of five months. The VIX is a non-investable index that captures the implied volatility of the S&P 500. The fund rolls its short positions and rebalances its portfolio daily, whereby the time and manner of rebalancing are at the discretion of the fund adviser.
Similar securities
Based on sector and market capitalization
Report issue