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SOCL : NASDAQ : Financial
$21.71 | %
Today's Range: 21.58 - 21.73
Avg. Daily Volume: 21,800
07/22/16 - 3:55 PM ET
RETURN AND EXPENSE COMPARISON (as of Jan 2015)
SOCL Return and Expenses Comparison Chart
1 Month: 5.5% 1 Year: 5.77%
3 Month: 14.76% 3 Year: 11.7%
6 Month: 5.98% 5 Year; 0.0%
Year-to-Date 5.98%    
Last Dividend
(12/29/2015)
$0.0    
Last Cap Gain 0.0    
Expense Ratio 0.65%    
MOST RECENT RATINGS CHANGES
Date Price Action From To
05/31/2016 $19.94 Upgrade HOLD BUY
02/29/2016 $17.35 Downgrade BUY HOLD
09/30/2015 $17.49 Upgrade HOLD BUY
08/31/2015 $17.62 Downgrade BUY HOLD
07/31/2015 $19.03 Upgrade HOLD BUY
06/30/2015 $20.04 Downgrade BUY HOLD
05/31/2015 $20.19 Upgrade HOLD BUY
03/31/2015 $19.33 Upgrade SELL HOLD
01/31/2015 $17.88 Downgrade HOLD SELL
11/30/2014 $19.12 Upgrade SELL HOLD
08/31/2014 $20.35 Downgrade HOLD SELL
07/31/2014 $19.63 Downgrade BUY HOLD
06/30/2014 $19.58 Upgrade SELL BUY
RETURN AND VOLATILITY MEASURES
 1 Year3 Year
Alpha13.68%9.74%
Beta0.82%0.9%
R-squared43.0%30.0%
Standard Deviation20.97%22.02%
Semi-deviation3.69%3.94%
Definitions:
Alpha - measures the portfolio manager's contribution to performance that is independent of the benchmark.
Beta - measures the portfolio sensitivity to movements in the market relative to the selected underlying benchmark.
R-squared - mesausres how closely the derived forecast was able to explain the performance of the last three years. It also measures diversification with lower number indicating more independence from benchmark.
Standard deviation - measures how closely actual values matched the forecasted values for performance.
Semi-deviation - only considers values that fall below the risk free rate of return.
 

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