Holdings

Symbol Grade Price % Change Allocation
APA F 1.23 3.67
OXY D 0.51 2.91
EOG C -0.26 2.71
HES B -1.11 2.69
DVN C -0.24 2.64
PXD B 0.00 2.56
FANG B -0.66 2.52
COP D -0.28 2.49
PBF F 1.33 2.49
MRO D -0.49 2.49
MUR D -0.11 2.43
XOM B 0.77 2.37
CVX A -0.34 2.35
MPC D -0.60 2.33
VLO D 1.14 2.33
RRC C 0.66 2.20
PSX D 0.94 2.19
EQT C 0.54 2.13
MTDR D -0.25 2.02
SM C -1.45 1.98
SWN C 1.47 1.96
DK D 0.43 1.95
KOS C -1.31 1.87
CNX C 0.79 1.51
AR C 1.03 1.40
CRC F 1.57 1.13
CVI F 0.03 0.96
MGY B -1.61 0.62
WTI F -2.92 0.59
NOG C 0.22 0.54
TELL F 7.45 0.46
GPRE F -6.03 0.33
PARR F -1.41 0.30
TALO F -1.14 0.27
REX B -1.96 0.13

Recent News for Direxion Daily S&P Oil & Gas Exp. & Prod. Bear 3X Shares & its Holdings

Date Stock Title
May 15 MPC If You Invested $1000 In This Stock 5 Years Ago, You Would Have $3,300 Today
May 15 OXY Berkshire Hathaway's top buys/sells in Q1 includes new $6.7B Chubb stake
May 15 MPC Elliott Management's Q1 moves include adding Nvidia, Transocean, exiting Valaris
May 15 VLO Valero Energy declares $1.07 dividend
May 15 XOM Tesla Loses Most-Crowded Short Stock Crown To This Oil Giant
May 15 CVX Tesla Loses Most-Crowded Short Stock Crown To This Oil Giant
May 15 MRO How Is The Market Feeling About Marathon Oil?
May 15 VLO Valero Energy Corporation Declares Regular Cash Dividend on Common Stock
May 15 CVX Duquesne Family Office top Q1 buys, cuts: Coherent, Eli Lilly, others
May 15 XOM Exxon says Glass Lewis has 'conflicts of interest' on shareholder recommendations
May 15 AR Antero Resources Receives Investment Grade Credit Rating
May 15 COP Sector Update: Energy Stocks Decline Late Wednesday Afternoon
May 15 XOM Exxon says proxy advisor Glass Lewis should recuse itself from making recommendations
May 15 XOM Exxon trading at big discount to broader market, Morgan Stanley says in buy rating
May 15 COP Sector Update: Energy Stocks Mixed in Wednesday Afternoon Trading
May 15 VLO Valero's Buyback Makes Shares Attractive Given A Favorable Environment
May 15 CVX 3 Dividend-Paying Energy Stocks With 20%+ Upside Potential, According To Analysts
May 15 XOM 3 Dividend-Paying Energy Stocks With 20%+ Upside Potential, According To Analysts
May 15 CVX Chevron To $205? This Analyst Thinks So, Implying 27% Upside
May 15 SM ExxonMobil (XOM) Strikes Oil With Likembe-01 Well Offshore Angola
The investment seeks daily investment results, of 300% of the inverse (or opposite) of the performance of the S&P Oil & Gas Exploration & Production Select Industry Index ("index"). The index is provided by S&P and includes domestic companies from the oil and gas exploration and production sub-industry. The fund normally creates short positions by investing at least 80% of its assets in: swap agreements; options on securities and indices; forward contracts; short positions; reverse repurchase agreements; ETFs; and other financial instruments that, in combination, provide inverse leveraged and unleveraged exposure to the index. It is non-diversified.
Exchange Traded Fund ETF Exchange Traded Funds Betashares Leveraged ETF Ultra ETF Inverse ETF Bear Market ETF Repurchase Agreement Gas Exploration Oil And Gas Exploration Forward Contract
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