Saturday, December 14, 2019

 


9-Month Best Funds
Sym Name Last Change Percent 9-Month
Percent
Last Update
CGMXXColumbia Government Money Market Fund Class I31.26unchunch+6,200.00%12/13/19
CMRXXColumbia Government Money Market Fund Class I21.21unchunch+5,950.00%12/13/19
IDYXXColumbia Government Money Market Fund Class I1.07unchunch+5,250.00%12/13/19
IDSXXColumbia Government Money Market Fund Class A1.06-0.01-0.93%+5,200.00%12/13/19
RVRXXColumbia Government Money Market Fund Class R1.06-0.01-0.93%+5,200.00%12/13/19
RCCXXColumbia Government Money Market Fund Class C1.06-0.01-0.93%+5,200.00%12/13/19
CLNXXColumbia Government Money Market Fund - Commissi1.06-0.01-0.93%+5,200.00%12/13/19
TEIXXInvesco Tax Exempt Cash Fund Investor Class2.25+1.08+92.31%+59.57%10/29/19
TSSXXInvesco Tax-Exempt Cash Fund Class R62.25+1.08+92.31%+59.57%10/29/19
ACSXXInvesco Tax-Exempt Cash Fund Class A2.25+1.08+92.31%+59.57%10/29/19
PMPIXPrecious Metals Ultra Sector Profund Investor47.74-0.25-0.52%+41.86%12/12/19
PMPSXPrecious Metals Ultra Sector Profund Service41.23-0.22-0.53%+40.73%12/12/19
ABRSXAbr Dynamicshort Volatility Fund - Institutional8.04-0.05-0.56%+40.01%12/12/19
ABRJXAbr Dynamic Short Volatility Fund - Investor Sha7.99-0.05-0.56%+39.67%12/12/19
SMPIXSemiconductor Ultrasector Profund Investor Clas54.83+1.87+3.53%+35.70%12/12/19
SMPSXSemiconductor Ultrasector Profund Service Class41.98+1.43+3.53%+34.67%12/12/19
OCMAXOcm Gold Fund Advisor Class9.90-0.07-0.70%+33.47%12/12/19
OCMGXOcm Gold Fund Investor Class8.92-0.06-0.67%+32.40%12/12/19
FSELXFidelity Select Semiconductors Portfolio12.57+0.33+2.70%+32.31%12/12/19
FIKGXFidelity Advisor Semiconductors Fund28.74+0.76+2.72%+32.10%12/12/19
FELIXFidelity Advisor Semiconductors Fund - Class I28.78+0.76+2.71%+31.92%12/12/19
RMQAXMonthly Rebalance Nasdaq-100 2X Strategy Fund A-170.93+2.58+1.53%+31.86%12/12/19
RMQHXMonthly Rebalance Nasdaq-100 2X Strategy Fund H-175.00+2.64+1.53%+31.80%12/12/19
FELAXFidelity Advisor Semiconductors Fund - Class A27.10+0.70+2.65%+31.67%12/12/19
IOGYXInvesco Oppenheimer Gold & Special Minerals Fund19.49+0.02+0.10%+31.66%12/12/19
RYVYXRydex Dynamic Fds Nasdaq - 100 2X Strategy Fd C190.82+2.88+1.53%+31.65%12/12/19
RYVLXRydex Dynamic Fds Nasdaq - 100 2X Strategy Fd C190.89+2.89+1.54%+31.65%12/12/19
PSLDXPimco Stockplus Long Duration Fd Insti Clas7.55-0.03-0.40%+31.65%12/12/19
UOPIXUltra Nasdaq-100 Profunds Investor Class89.86+1.35+1.53%+31.58%12/12/19
FELTXFidelity Advisor Semiconductors Fund - Class M25.73+0.67+2.67%+31.33%12/12/19
RMQCXMonthly Rebalance Nasdaq-100 2X Strategy Fund C-164.30+2.48+1.53%+31.10%12/12/19
DXQLXDirexion Monthly Nasdaq-100 Bull 2X Fund Investo29.97+0.45+1.52%+31.07%12/12/19
FELCXFidelity Advisor Semiconductors Fund - Class C23.00+0.60+2.68%+30.95%12/12/19
RYCCXRydex Dynamic Fds Nasdaq-100 2X Strategy Fd Cl151.49+2.28+1.53%+30.90%12/12/19
UOPSXUltra Nasdaq-100 Profund Service Class72.61+1.09+1.52%+30.60%12/12/19
RYSIXRydex Series Trust Electronics Fund Investor Cla162.99+3.92+2.46%+30.49%12/12/19
RYSAXRydex Series Fds Electronics Fund H Class146.15+3.51+2.46%+30.25%12/12/19
RYELXRydex Series Fds Electronics Fund Class A150.57+3.63+2.47%+30.25%12/12/19
RYSCXRydex Electronics Fund - C Class132.87+3.20+2.47%+29.52%12/12/19
RYPMXRydex Series Trust - Precious Metals Fund33.33-0.09-0.27%+28.80%12/12/19
RYMPXRydex Series Fds Precious Metals Fund H Class30.59-0.08-0.26%+28.64%12/12/19
RYMNXRydex Series Fds Precious Metals Fund Class A31.64-0.08-0.25%+28.51%12/12/19
IIRFXVOYA Russia Fund Class I39.44+0.41+1.05%+28.16%12/12/19
IWRFXVOYA Russia Fund Class W39.32+0.41+1.05%+28.10%12/12/19
LETRXVOYA Russia Fund Class A39.24+0.41+1.06%+27.88%12/12/19
RYZCXRydex Precious Metals - C Class26.70-0.06-0.22%+27.84%12/12/19
NESIXNeedham Small Cap Growth Fund - Institutional Cl17.44+0.21+1.22%+27.23%12/12/19
RYJSXRydex Srs TR Japan 2X Strategy Fund A Class148.39+1.83+1.25%+26.88%12/12/19
RYJHXRydex Srs TR Japan 2X Strategy Fd - Cl H149.52+1.84+1.25%+26.84%12/12/19
NESGXNeedham Small Cap Growth Fund - Retail Class17.08+0.21+1.24%+26.59%12/12/19
Displaying 1 - 50 of 200
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