ETFChannel.com
QID

Fund Name:
QID
Issuer:
ProShares
Total Net Assets:
$2,953,438,114
Inception:
7/11/06
Related Index:
NASDAQ-100 Index
ETF Category: 
Technology - Leveraged
Expense Ratio: 
0.95 
Net Asset Value: 
$39.31  
Recent NAV Premium: 
0.00% 
NAV Symbol: 
QLD.NV  
Number of Holdings: 
15  
Annualized Yield: 
0.00%  
Annualized Distribution: 
NA  
Stock Weight Amount
Apple 11.82% $381,216,076
Microsoft 9.94% $320,370,627
AMAZON.COM 6.87% $221,529,478
Meta Platforms Inc-class A 4.83% $155,652,515
Tesla 4.44% $143,326,684
List of all 101 stocks held by QLD »
Future Weight Contracts
Nasdaq 100 E-mini Equity Index 16/DEC/2022 Nqz2 Index NA% -97
Nasdaq 100 Index Swap JP Morgan Securities NA% -3,811
Nasdaq 100 Index Swap Bnp Paribas NA% -4,415
Nasdaq 100 Index Swap Citibank NA NA% -4,771
Nasdaq 100 Index Swap Goldman Sachs International NA% -5,120
List of all 10 futures held by QLD »
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Buy (3.45 out of 4)
100th percentile
(ranked higher than approx. 100% of all etfs covered)
Based on data provided by Zacks Investment Research via Quandl.com
Shares Short 560,146
Chg. from Last Month +19,547
Shares Outstanding 75,000,000
% of Shares Short 0.75%
Days to Cover 0.1
Based on third party short interest data.

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