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6 Month Worst

Etats-Unis|Canada
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6-Month Worst Funds

Symbole Nom Dernière Variation Pourcentage Pourcentage
6 mois
Dernière mise à jour
CYPSX Consumer Services Ultra Sector Profund Service 119,86 -0,25 -0,21% -64,76% 15/11/19
CYPIX Consumer Services Ultra Sector Profund Investor 139,95 -0,28 -0,20% -64,58% 15/11/19
BLPSX Bull Profund Service 117,49 +0,90 +0,77% -63,80% 15/11/19
BLPIX Bull Profund Investor Class 142,44 +1,10 +0,78% -63,62% 15/11/19
IDPSX Industrials Ultra Sector Profund Service Class 108,88 +1,03 +0,96% -62,30% 15/11/19
IDPIX Industrials Ultra Sector Profund Investor Class 125,10 +1,19 +0,96% -62,11% 15/11/19
UDPSX Ultra Dow 30 Profund Service Class 133,85 +2,18 +1,66% -61,07% 15/11/19
UDPIX Ultra Dow 30 Profund Investor Class 153,47 +2,50 +1,66% -60,87% 15/11/19
TEPSX Technology Ultrasector Profund Service Class 136,51 +2,23 +1,66% -59,85% 15/11/19
TEPIX Technology Ultrasector Profund Investor Class 163,67 +2,68 +1,66% -59,65% 15/11/19
CANNX Cannabis Growth Fund - Investor Class 4,76 -0,11 -2,26% -53,17% 15/11/19
CANIX Cannabis Growth Fund - Institutional Class 4,76 -0,12 -2,46% -52,48% 15/11/19
NWSXX Nationwide Government Money Market Fund Service 1,02 -0,04 -3,77% -41,04% 13/11/19
FGDXX First American Mm Fds Gv Obligations Corp TR Cl 1,12 -0,01 -0,88% -40,11% 18/11/19
RGNCX Victory Global Natural Resources Fund - Class C 7,09 +0,13 +1,87% -39,20% 15/11/19
FODXX First American U.S. Treasury Money Market Fund C 1,12 -0,01 -0,88% -39,13% 18/11/19
RSNKX Victory Global Natural Resources Fund - Class R 7,46 +0,14 +1,91% -39,07% 15/11/19
RSNRX Victory Global Natural Resources Fund - Class A 7,90 +0,15 +1,94% -38,89% 15/11/19
RSNYX Victory Global Natural Resources Fund - Class Y 8,24 +0,16 +1,98% -38,80% 15/11/19
FTDXX First American Mm Fds Treas Obligations Corp TR 1,14 unch unch -38,38% 18/11/19
MIFXX Nationwide Government Money Market Fund Investor 1,20 -0,04 -3,23% -38,14% 13/11/19
XNDPX Tortoise Energy Independence Fd Inc 4,54 +0,08 +1,79% -37,81% 15/11/19
FAPXX Retail Prime Obligations Fund Class A 1,27 -0,01 -0,78% -37,75% 18/11/19
FGVXX First American Funds Institutional Government Fu 1,27 -0,01 -0,78% -37,13% 18/11/19
FOYXX First American U.S. Treasury Money Market Fund C 1,27 -0,01 -0,78% -36,18% 18/11/19
IMWXX VOYA Government Money Market Fund Class W 1,58 -0,01 -0,63% -35,51% 08/11/19
AMCXX VOYA Government Money Market Fund Class L 1,58 -0,01 -0,63% -35,51% 08/11/19
IDMXX VOYA Government Money Market Fund Class O 1,58 -0,01 -0,63% -35,51% 08/11/19
AEMXX VOYA Government Money Market Fund Class A 1,58 -0,01 -0,63% -35,51% 08/11/19
ATNXX VOYA Government Money Market Fund Class I 1,58 -0,01 -0,63% -35,51% 08/11/19
GMIXX Nationwide Government Money Market Fund Class R6 1,29 -0,04 -3,01% -35,50% 13/11/19
FOCXX First American Money Market Fund Treasury Obliga 1,29 unch unch -35,50% 18/11/19
IMCXX VOYA Government Money Market Fund Class C 1,58 -0,01 -0,63% -35,25% 08/11/19
FVIXX First American Government Obligations Fund Class 1,42 -0,01 -0,70% -34,56% 18/11/19
ITLXX VOYA Liquid Assets Portfolio S2 1,61 -0,03 -1,83% -34,02% 18/11/19
IPLXX VOYA Liquid Assets Portfolio Initial 1,61 -0,03 -1,83% -34,02% 18/11/19
IVMXX VOYA Money Market Portfolio Initial 1,61 -0,03 -1,83% -34,02% 18/11/19
ISPXX VOYA Liquid Assets Portfolio Service 1,61 -0,03 -1,83% -34,02% 18/11/19
FYRXX Retail Prime Obligations Fund Class Y 1,43 -0,01 -0,69% -33,80% 18/11/19
FUIXX First American U.S. Treasury Money Market Fund C 1,42 -0,01 -0,70% -33,64% 18/11/19
MTOXX Milestone Treasury Obligations Fd Inv Cl 1,64 unch unch -33,06% 18/11/19
MTIXX Milestone Treasury Obligations Fd Inst Cl 1,64 unch unch -33,06% 18/11/19
FLIXX First American Treasury Obligations Fund Class V 1,44 unch unch -33,02% 18/11/19
FGZXX First American Government Obligations Fund Clas 1,54 -0,01 -0,65% -32,75% 18/11/19
FAIXX First American Institutional Prime Obligations F 1,45 unch unch -32,56% 18/11/19
FEIXX Retail Prime Obligations Fund Class T 1,50 unch unch -32,43% 18/11/19
FPPXX Government Obligations Fund Class P 1,57 -0,01 -0,63% -32,33% 18/11/19
IAAXX Ivy Cash Management Fund Class A 1,28 -0,04 -3,03% -32,28% 18/11/19
FGXXX First American Government Obligations Fund Class 1,58 -0,01 -0,63% -32,19% 18/11/19
FOZXX First American U.S. Treasury Money Market Fund C 1,52 -0,01 -0,65% -32,14% 18/11/19
Displaying Top 50 Results