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Proshares Vix Mid-term Futures Etf | VIXM

Total Score (0-100)

See best or worst

26.00
Technical Score (0-100)

See best or worst

52.01
Notional Volume$2.9M
At SMA Score20 (%5.97)
Demark 9 ?
Demark 9 indicators are designed to look for exhaustion in the selling or buying trend which can often be predictive of a reversal point. This indicator is triggered when there are 9 consecutive days where the closing price is higher/lower than the closing price 4 days ago. Like all indicators, it is best used in combinations with other factors.
Buy 125 (%83.33)
Overbought0 (%NAN)
Oversold100 (%INF)
1y S-Momentum ?
Smooth Momentum is our proprietary technical indicator that looks for momentum with the greatest consistency and steady velocity. We have penalized dramatic swings and fluctuations. If the momentum is too high and an asset spikes upward, this is often unreliable and collapses back down. But the smooth momentum provides the highest probability of continuing into the near future with the same directional rate of change. Several complex factors are weighted by neural nets to maximize probabilistic accuracy. It works the same with positive or negative directions.
7.40 (%53.7)
6m S-Momentum6.40 (%53.2)
3m S-Momentum7.62 (%55.08)
Support Score0
Diagonal Support0
Valleys272.876
Resistance Score0
Diagonal Resistance183.235
Peaks429.715
Sentiment Score (0-100)

See best or worst

0
Analyst Ratings ?
We track several different measures of analyst sentiment including ratings and price targets. To create a composite Analyst Sentiment Score, we weight several factors such as the recent rate of change which can be more predictive than the absolute level. We also weight each analyst's opinion based on their historic accuracy. We built in a time decay function to ensure that the rating reflects the current sentiment levels. Typical range (-500 to +500)
Sentiment Score %
Positive Ratings %
Negative Ratings
Boost Price Target %
Lower Price Target
(%50)
Short Interest Score +
We take into account several different measures of short interest to create a composite score. Range (0 - 30)
Short Interest 0%
Days to Cover 0
Rate of Change 0%
Short Interest Score 0
0 (%100)
Social ()
EPS YOY Est. (2022-05-02)N/A
EPS Revi. TrendN/A
Options Sentiment +
Put/Call ratios in the options data is to help gauge the sentiment of options traders.
Date:
Put Volume:
Call Volume:
Volume Ratio:
Put Open Interest:
Call Open Interest:
Open Interest Ratio:
0.00
EPS Analysts0
Ratings Analysts0

Daily Technical Analysis of Proshares Vix Mid-term Futures Etf

The ETF has made a pretty substantial move today, moving up 11.05% compared to yesterday. Not too bad! The outlook for this market segment is pretty positive.

Currently VIXM isn't at a clear support/resistance line that seems tradable. Momentum wise Proshares Vix Mid-term Futures, has been oscillating up and down but hasn't shown much directional energy that would be predictive to the near future. It may keep moving up to $16.1 and hit some selling pressure. Hard to say though...


Last analyzed on 2025-03-31
Test Chart

Companies with the highest correlation to Proshares Vix Mid-term Futures

Company Score 1 Day% 5 Day 1 Month 3 Month 6 Month 1 Year RSI 3mo S-momo ? 6mo S-momo 1yr S-momo Resistance ? Support Demark Sell ? Demark Buy Short Interest Score
BAM | Brookfield Asset Manageme1.28-7.38-2.97-3.19-12.82-1.4713.12512.035.4719.07-3398.42-2113.2012507.7072
OTEX | Open Text Corp1.22-4.24-1.74-5.62-11.97-24.42-34.5548-52.61-43.68-30.61-51381.61175.34125010.7105
CSQ | Calamos Strategic Total R1.18-5.12-4.24-7.04-11.98-9.58-4.3046-3.40-2.80-1.02-7827.99-333.4510000.291774
EL | The Estee Lauder Companie1.17-15.37-11.05-20.62-21.55-40.08-60.2736-64.76-59.25-93.45-64242.66173.55001.47805
VSH | Vishay Intertechnology, I1.16-21.85-23.05-29.98-27.62-31.67-43.8930-21.82-33.77-31.46-32447.63296.900011.2009
APH | Amphenol Corporation1.16-7.72-5.90-0.43-12.310.848.6258-2.76-4.10-2.32-3678.34-1844.0212501.73653
TEL | TE CONNECTIVITY LTD1.16-8.65-8.55-13.81-9.59-11.34-10.7846-0.61-0.242.10-717.74-9248.55000.732096
MC | MOELIS & COMPANY1.14-11.96-8.58-14.36-28.34-20.32-5.9040-4.96-4.00-0.59-6089.04-1914.18008.76393

Top 3 correlating companies

See full charts for all peers

Sentiment Score

How to use: use the research links to research the asset. Then simply type in a score for each category between (01, 02, 03, 04, 05). 05 being the most bullish and 01 being the most bearish. It will automatically calculate the average and combine it with the technical score to create an overall score to rank prospects by. You can also type notes into each field.

Earnings Estimates
Analyst Rating
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Overall Summary Notes
Calculated Sentiment Sum

Score Sum
(1-45)

0

/

Average
(1-5)

0

+

Pattern Rank
(1-5)

=

Total Score
(1-10)

1.00

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