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Daily Trending Down by Volatility

Sym Name Standard Deviation High Last Change Percent Last Update
HRRNX Harbor Real Return Fund - Retirement Class -4.59 9.41 9.41 unch unch 10/29/19
JODMX Johcm US Small Mid Cap Equity Fund- Institutiona -4.50 11.38 11.38 unch unch 10/10/19
JODIX Johcm US Small Mid Cap Equity Fund- Class I -4.49 11.33 11.33 unch unch 10/10/19
XACPX Aberdeen Income Credit Strategies Fund -4.49 12.34 12.34 -0.01 -0.08% 11/13/19
XAIFX Apollo Tactical Income Fund Inc. -3.82 16.52 16.52 +0.02 +0.12% 11/13/19
TFLCX Transamerica Floating Rate- Class C -3.81 9.61 9.61 +0.01 +0.10% 11/13/19
XAFTX Apollo Senior Floating Rate Fund Inc. -3.71 16.66 16.66 +0.03 +0.18% 11/13/19
ARTKX Artisan International Value Fund Investor Shs -3.26 35.98 35.98 -0.17 -0.47% 11/13/19
APHKX Artisan International Value Fd Insti Shs -3.26 36.04 36.04 -0.17 -0.47% 11/13/19
TFLIX Transamerica Floating Rate- Class I -3.25 9.57 9.57 unch unch 11/13/19
APDKX Artisan International Value Fund Advisor Shares -3.25 35.89 35.89 -0.17 -0.47% 11/13/19
TFLAX Transamerica Floating Rate- Class A -3.11 9.60 9.60 unch unch 11/13/19
WMNIX Westwood Market Neutral Income Fund Institutiona -3.08 10.29 10.29 -0.02 -0.19% 11/13/19
XJHYX Nuveen High Income 2020 Target Term Fund -2.85 9.73 9.73 unch unch 11/13/19
XEHTX Eaton Vance High Income 2021 Target Term Trust -2.81 9.98 9.98 +0.01 +0.10% 11/13/19
AMABX Ab Municipal Income Fund II - Massachusetts Port -2.72 11.32 11.32 unch unch 11/06/19
ALCBX Ab Municipal Income Fund Inc. - California Port -2.72 11.26 11.26 unch unch 11/06/19
WMNUX Westwood Market Neutral Income Fund Ultra Shares -2.71 10.29 10.29 -0.03 -0.29% 11/13/19
AVABX Ab Municipal Income Fund II - Virginia Portfolio -2.66 11.25 11.25 unch unch 11/06/19
CFRRX Columbia Floating Rate Fund Class R -2.61 8.84 8.84 unch unch 11/13/19
CFRYX Columbia Floating Rate Fund Class I3 -2.61 8.83 8.83 unch unch 11/13/19
ATASX Amg GW&K U.S. Small Cap Growth Fund - Class N -2.60 2.42 2.42 unch unch 10/28/19
AOHBX Ab Municipal Income Fund II - Ohio Portfolio - C -2.52 10.07 10.07 unch unch 11/06/19
AAZBX Ab Municipal Income Fund II - Arizona Portfolio -2.50 11.28 11.28 unch unch 11/06/19
TRXAX Catalyst/Map Global Balanced Fund Class A -2.45 11.76 11.76 -0.01 -0.08% 11/13/19
JIFNX Janus Henderson International Value Fund - N Sha -2.44 10.39 10.39 unch unch 11/13/19
ANABX Ab Global Bond Fund Inc. - Class B -2.39 8.61 8.61 +0.01 +0.12% 11/06/19
DDJRX Ddj Capital Opportunistic High Yield Fund Cl II -2.38 8.65 8.65 unch unch 11/13/19
ALNBX Ab Municipal Income Fund Inc. - New York Portfo -2.38 10.08 10.08 unch unch 11/06/19
TRXIX Catalyst/Map Global Balanced Fund Class I -2.37 11.79 11.79 unch unch 11/13/19
PRIVX Sharespost 100 Fund - Class A -2.32 29.12 29.12 unch unch 11/13/19
TRXCX Catalyst/Map Global Balanced Fund Class C -2.31 11.62 11.62 -0.01 -0.09% 11/13/19
ANJBX Ab Municipal Income Fund II - New Jersey Portfol -2.30 9.90 9.90 unch unch 11/06/19
NUICX Nuveen Santa Barbara International Dividend Grow -2.30 26.95 26.95 +0.02 +0.07% 11/13/19
DDJIX Ddj Capital Opportunistic High Yield Fund Instit -2.29 8.63 8.63 unch unch 11/13/19
TRISX T.Rowe Institutional U.S. Structured Research Fu -2.27 13.54 13.54 +0.01 +0.07% 11/13/19
ZSRIX Zeo Sustainable Credit Fund - Class I -2.26 10.04 10.04 unch unch 11/13/19
NUIAX Nuveen Santa Barbara International Dividend Grow -2.25 27.23 27.23 +0.02 +0.07% 11/13/19
NFRCX Aig Senior Floating Rate Fund - Class C -2.24 7.84 7.84 unch unch 11/13/19
JIFIX Janus Henderson International Value Fund - I Sha -2.24 10.35 10.35 unch unch 11/13/19
JIFSX Janus Henderson International Value Fund - S Sha -2.22 10.35 10.35 unch unch 11/13/19
NUIRX Nuveen Santa Barbara International Dividend Grow -2.21 27.12 27.12 +0.02 +0.07% 11/13/19
WRNXX Ivy Government Money Market Class N -2.18 1.41 1.41 -0.01 -0.70% 11/14/19
JIFTX Janus Henderson International Value Fund - T Sha -2.18 10.32 10.32 -0.01 -0.10% 11/13/19
ALTBX Ab Municipal Income Fund Inc. - National Portfo -2.17 10.43 10.43 unch unch 11/06/19
NUIIX Nuveen Santa Barbara International Dividend Grow -2.16 27.25 27.25 +0.01 +0.04% 11/13/19
RYMAX Rydex Series Fds Telecommunications Fund H Clas -2.13 45.68 45.68 -0.10 -0.22% 11/13/19
RYMIX Rydex Series Trust Telecommunications Fund Inves -2.13 51.15 51.15 -0.11 -0.21% 11/13/19
RYCSX Rydex Telecommunications - C Class -2.12 41.35 41.35 -0.09 -0.22% 11/13/19
PAIEX T. Rowe Price Dynamic Global Bond Fund - Advisor -2.12 9.09 9.09 -0.03 -0.33% 11/13/19
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