Caution Message:

TQQQ is a leveraged ETF and may carry additional risk, particularly if the position is held beyond a single trading session. Please read the fund prospectus carefully before investing. Learn more about non-traditional ETFs in the Knowledge Center.

Ratio: 3x

ProShares UltraPro QQQ TQQQ:NASDAQ (Exchange Traded Fund)

LastChange / % ChangeVolumeAvg Volume (10 day)Morningstar CategoryAsset Class
102.59 0.98   0.96%2,052,9922.6MTrading-Leveraged EquityAlternative
Market data is delayed by at least 20 minutes. | For standardized performance data click on the Performance tab below.
Summary chart showing the current equity's performance of over the past 1 days
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Previous close 3/27/2015

Strategy for ProShares UltraPro QQQ

The investment seeks daily investment results, before fees and expenses, that correspond to three times (3x) the daily performance of the NASDAQ-100 Index®. The fund invests in securities and derivatives that ProShare Advisors believes, in combination, should have similar daily return characteristics as three times (3x) the daily return of the index. The index, a modified market capitalization-weighted index, includes 100 of the largest non-financial domestic and international issues listed on The NASDAQ Stock Market. The fund is non-diversified.


collapse, right-facing arrow indicating collapsed view of sectionOverview

A table providing an overview of the fund
Bid | Size-- | --
Ask | Size-- | --
Price Open101.41
Previous Close101.61
Day High103.42
Day Low100.99
52 Week High3/2/2015 | 114.39
52 Week Low4/15/2014 | 52.18
% Off 52 Week High-10.32%
% Off 52 Week Low96.61%
Market data is delayed by at least 20 minutes.

collapse, right-facing arrow indicating collapsed view of sectionDistributions

Summary data of the distribution of the assets in the fund
Distribution Yield (TTM)2/28/2015 | 0.03%
Date of Record12/24/2014
Last Distribution0.0167
Pay Date4/2/2015
Short-Term Capital Gain--
Long-Term Capital Gain--
Capital Gain Distribution Date12/22/2014

collapse, right-facing arrow indicating collapsed view of sectionFund Statistics

A table providing statistics about the fund
Total Net Assets2/28/2015 | 1.2B
Net Asset Value3/27/2015 | 102.71
Premium/Discount3/27/2015 | -0.12%
3/27/2015 4:14:00 PM ET | $102.72
IIV $ Change1.25
IIV % Change1.23%
Inception Date2/9/2010
Gross Expense Ratio1.04
Net Expense Ratio0.95
SEC 30-Day Yield--