v3.22.2
Financial Highlights (Tables)
6 Months Ended
Jun. 30, 2022
Quarterly Financial Information Disclosure [Abstract]  
Per Share Operating Performance
Selected Data for a Share Outstanding Throughout the Three Months Ended June 30, 2022
 
For the Three Months Ended June 30, 2022 (unaudited)
 
Per Share Operating
Performance
  
Short VIX
Short-Term

Futures ETF
   
Ultra
Bloomberg
Crude Oil*
   
Ultra
Bloomberg
Natural Gas
   
Ultra Euro
   
Ultra Gold
 
Net asset value, at March 31, 2022
   $ 54.55     $ 37.94     $ 56.06     $ 12.47     $ 66.99  
Net investment income (loss)
     (0.13     (0.07     (0.21     (0.02     (0.09
Net realized and unrealized gain (loss)#
     (6.28     3.74       (16.32     (1.37     (10.44
Change in net asset value from operations
     (6.41     3.67       (16.53     (1.39     (10.53
Net asset value, at June 30, 2022
   $ 48.14     $ 41.61     $ 39.53     $ 11.08     $ 56.46  
Market value per share, at March 31, 2022
   $ 54.56     $ 38.33     $ 56.31     $ 12.46     $ 66.14  
Market value per share, at June 30, 2022
   $ 48.21     $ 41.86     $ 42.10     $ 11.11     $ 56.50  
Total Return, at net asset value^
     (11.8 )%      9 .7     (29.5 )%      (11.1 )%      (15.7 )% 
Total Return, at market value^
     (11.6 )%      9 .2     (25.2 )%      (10.8 )%      (14.6 )% 
Ratios to Average Net Assets**
                                        
Expense ratio^^
     1.21     1.01     1 .26     0.95     0 .98
Net investment income gain (loss)
     (1.00 )%      (0.64 )%      (1.01 )%      (0.54 )%      (0.56 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2022.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95% and 0.95%, respectively, if brokerage commissions and futures account fees were excluded.
 
For the Three Months Ended June 30, 2022 (unaudited)
 
Per Share Operating
Performance
  
Ultra Silver
 
 
Ultra VIX
Short-Term

Futures ETF
 
 
Ultra Yen
 
 
UltraShort
Bloomberg
Crude Oil*
 
 
UltraShort
Bloomberg
Natural Gas*
 
Net asset value, at March 31, 2022
   $ 39.06     $ 13.50     $ 42.02     $ 29.17     $ 64.71  
Net investment income (loss)
     (0.05     (0.05     (0.05     (0.05     (0.08
Net realized and unrealized gain (loss)#
     (14.23     1.06       (8.46     (6.08     (21.98
Change in net asset value from operations
     (14.28     1.01       (8.51     (6.13     (22.06
Net asset value, at June 30, 2022
   $ 24.78     $ 14.51     $ 33.51     $ 23.04     $ 42.65  
Market value per share, at March 31, 2022
   $ 38.53     $ 13.46     $ 42.09     $ 28.95     $ 64.56  
Market value per share, at June 30, 2022
   $ 24.47     $ 14.53     $ 33.49     $ 22.93     $ 40.02  
Total Return, at net asset value^
     (36.6 )%      7 .5     (20.3 )%      (21.0 )%      (34.1 )% 
Total Return, at market value^
     (36.5 )%      8 .0     (20.4 )%      (20.8 )%      (38.0 )% 
Ratios to Average Net Assets**
                                        
Expense ratio^^
     0.98     1.53     0.95     1.14     1.36
Net investment income gain (loss)
     (0.61 )%      (1.36 )%      (0.59 )%      (0.85 )%      (1.14 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2022.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95% and 0.95%, respectively, if non-recurring fees and expenses, and brokerage commissions and futures account fees were excluded.
 
For the Three Months Ended June 30, 2022 (unaudited) 
 
Per Share Operating
Performance
  
UltraShort
Euro
 
 
UltraShort
Gold
 
 
UltraShort
Silver
 
 
UltraShort
Yen*
 
 
VIX Mid-
Term Futures
ETF
 
 
VIX Short-
Term Futures
ETF
 
Net asset value, at March 31, 2022
   $ 27.30     $ 27.23     $ 21.45     $ 46.32     $ 31.45     $ 16.61  
Net investment income (loss)
     (0.05     (0.05     (0.05     (0.09     (0.06     (0.04
Net realized and unrealized gain (loss)#
     3.13       4.37       10.34       10.83       3.90       1.65  
Change in net asset value from operations
     3.08       4.32       10.29       10.74       3.84       1.61  
Net asset value, at June 30, 2022
   $ 30.38     $ 31.55     $ 31.74     $ 57.06     $ 35.29     $ 18.22  
Market value per share, at March 31, 2022
   $ 27.31     $ 27.61     $ 21.78     $ 46.37     $ 31.50     $ 16.57  
Market value per share, at June 30, 2022
   $ 30.41     $ 31.59     $ 32.19     $ 57.13     $ 35.38     $ 18.25  
Total Return, at net asset value^
     11.3     15.9     48.0     23.2     12.2     9 .6
Total Return, at market value^
     11.4     14.4     47.8     23.2     12.3     10.1
Ratios to Average Net Assets**
                                                
Expense ratio^^
     0.95     0.99     1.06     0.95     0.96     1.16
Net investment income gain (loss)
     (0.70 )%      (0.74 )%      (0.78 )%      (0.68 )%      (0.74 )%      (0.94 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2022.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95%, 0.85% and 0.85%, respectively, if non-recurring fees and expenses, and brokerage commissions and futures account fees were excluded.
 
Selected data for a Share outstanding throughout the three months ended June 30, 2021
 
For the Three Months Ended June 30, 2021 (unaudited) 
 
Per Share Operating
Performance
  
Short VIX
Short-Term

Futures ETF
   
Ultra
Bloomberg
Crude Oil*
   
Ultra
Bloomberg
Natural Gas
   
Ultra Euro
   
Ultra Gold
 
Net asset value, at March 31, 2021
   $ 47.13     $ 13.14     $ 21.31     $ 14.45     $ 54.32  
Net investment income (loss)
     (0.17     (0.04     (0.08     (0.03     (0.14
Net realized and unrealized gain (loss)#
     8.65       6.46       14.10       0.25       3.10  
Change in net asset value from operations
     8.48       6.42       14.02       0.22       2.96  
Net asset value, at June 30, 2021
   $ 55.61     $ 19.56     $ 35.33     $ 14.67     $ 57.28  
Market value per share, at March 31, 2021
   $ 47.10     $ 13.21     $ 21.20     $ 14.47     $ 53.91  
Market value per share, at June 30, 2021
   $ 55.55     $ 19.56     $ 37.17     $ 14.66     $ 57.22  
Total Return, at net asset value^
     18.0     48.9     65.8     1.6     5.5
Total Return, at market value^
     17.9     48.0     75.3     1.3     6.1
Ratios to Average Net Assets**
          
Expense ratio^^
     1.37     1.13     1.42     0.95     0.99
Net investment income gain (loss)
     (1.35 )%      (1.09 )%      (1.35 )%      (0.91 )%      (0.95 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2021.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95% and 0.95%, respectively, if brokerage commissions and futures account fees were excluded.
 
For the Three Months Ended June 30, 2021 (unaudited)
 
Per Share Operating
Performance
  
Ultra Silver
   
Ultra VIX
Short-Term

Futures ETF
*
   
Ultra Yen
   
UltraShort
Bloomberg
Crude Oil
*
   
UltraShort
Bloomberg
Natural Gas*
 
Net asset value, at March 31, 2021
   $ 41.35     $ 56.32     $ 51.78     $ 143.99     $ 782.71  
Net investment income (loss)
     (0.12     (0.17     (0.12     (0.31     (2.47
Net realized and unrealized gain (loss)#
     4.74       (28.24     (0.42     (53.12     (349.17
Change in net asset value from operations
     4.62       (28.41     (0.54     (53.43     (351.64
Net asset value, at June 30, 2021
   $ 45.97     $ 27.91     $ 51.24     $ 90.56     $ 431.07  
Market value per share, at March 31, 2021
   $ 41.10     $ 56.50     $ 51.78     $ 143.00     $ 786.40  
Market value per share, at June 30, 2021
   $ 46.12     $ 27.98     $ 51.26     $ 90.55     $ 408.80  
Total Return, at net asset value^
     11.2     (50.5 )%      (1.1 )%      (37.1 )%      (44.9 )% 
Total Return, at market value^
     12.2     (50.5 )%      (1.0 )%      (36.7 )%      (48.0 )% 
Ratios to Average Net Assets**
          
Expense ratio^^
     1.00     1.73     0.95     1.19     1.60
Net investment income gain (loss)
     (0.96 )%      (1.65 )%      (0.90 )%      (1.10 )%      (1.56 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2021.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95% and 0.95%, respectively, if brokerage commissions and futures account fees were excluded.
 
For the Three Months Ended June 30, 2021 (unaudited) 
 
Per Share Operating
Performance
  
UltraShort
Euro
   
UltraShort
Gold
   
UltraShort
Silver
*
   
UltraShort
Yen*
   
VIX Mid-
Term Futures
ETF
   
VIX Short-
Term Futures
ETF
*
 
Net asset value, at March 31, 2021
   $ 24.41     $ 37.60     $ 27.92     $ 38.86     $ 34.74     $ 37.29  
Net investment income (loss)
     (0.05     (0.08     (0.06     (0.09     (0.08     (0.09
Net realized and unrealized gain (loss)#
     (0.55     (2.85     (4.49     0.21       (4.15     (13.11
Change in net asset value from operations
     (0.60     (2.93     (4.55     0.12       (4.23     (13.20
Net asset value, at June 30, 2021
   $ 23.81     $ 34.67     $ 23.37     $ 38.98     $ 30.51     $ 24.09  
Market value per share, at March 31, 2021
   $ 24.42     $ 37.89     $ 28.04     $ 38.88     $ 35.06     $ 37.40  
Market value per share, at June 30, 2021
   $ 23.82     $ 34.69     $ 23.28     $ 38.99     $ 30.54     $ 24.08  
Total Return, at net asset value^
     (2.5 )%      (7.8 )%      (16.3 )%      0.3     (12.2 )%      (35.6 )% 
Total Return, at market value^
     (2.5 )%      (8.4 )%      (17.0 )%      0.3     (12.9 )%      (35.4 )% 
Ratios to Average Net Assets**
            
Expense ratio^^
     0.95     1.01     1.05     0.95     1.07     1.19
Net investment income gain (loss)
     (0.90 )%      (0.96 )%      (1.02 )%      (0.90 )%      (1.03 )%      (1.14 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2021.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95%, 0.85% and 0.85%, respectively, if brokerage commissions and futures account fees were excluded.
 
Selected Data for a Share Outstanding Throughout the six Months Ended June 30, 2022
 
For the Six Months Ended June 30, 2022 (unaudited)
 
Per Share Operating
Performance
  
Short VIX
Short-Term

Futures ETF
   
Ultra
Bloomberg
Crude Oil*
   
Ultra
Bloomberg
Natural Gas
   
Ultra Euro
   
Ultra Gold
 
Net asset value, at December 31, 2021
   $ 61.56     $ 21.54     $ 25.55     $ 13.32     $ 59.69  
Net investment income (loss)
     (0.29     (0.15     (0.29     (0.04     (0.22
Net realized and unrealized gain (loss)#
     (13.13     20.22       14.27       (2.20     (3.01
Change in net asset value from operations
     (13.42     20.07       13.98       (2.24     (3.23
Net asset value, at June 30, 2022
   $ 48.14     $ 41.61     $ 39.53     $ 11.08     $ 56.46  
Market value per share, at December 31, 2021
   $ 61.55     $ 21.70     $ 26.09     $ 13.33     $ 59.81  
Market value per share, at June 30, 2022
   $ 48.21     $ 41.86     $ 42.10     $ 11.11     $ 56.50  
Total Return, at net asset value^
     (21.8 )%      93.2     54.7     (16.8 )%      (5.4 )% 
Total Return, at market value^
     (21.7 )%      92.9     61.4     (16.7 )%      (5.5 )% 
Ratios to Average Net Assets**
          
Expense ratio^^
     1.28     1.05     1.29     0.95     0.99
Net investment income gain (loss)
     (1.12 )%      (0.82 )%      (1.10 )%      (0.65 )%      (0.71 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2022.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95% and 0.95%, respectively, if brokerage commissions and futures account fees were excluded.
 
For the Six Months Ended June 30, 2022 (unaudited)
 
Per Share Operating
Performance
  
Ultra Silver
   
Ultra VIX
Short-Term

Futures ETF
*
   
Ultra Yen
   
UltraShort
Bloomberg
Crude Oil
*
   
UltraShort
Bloomberg
Natural Gas
*
 
Net asset value, at December 31, 2021
   $ 34.84     $ 12.41     $ 47.29     $ 64.26     $ 247.40  
Net investment income (loss)
     (0.13     (0.11     (0.13     (0.12     (0.31
Net realized and unrealized gain (loss)#
     (9.93     2.21       (13.65     (41.10     (204.44
Change in net asset value from operations
     (10.06     2.10       (13.78     (41.22     (204.75
Net asset value, at June 30, 2022
   $ 24.78     $ 14.51     $ 33.51     $ 23.04     $ 42.65  
Market value per share, at December 31, 2021
   $ 34.74     $ 12.43     $ 47.29     $ 63.75     $ 242.20  
Market value per share, at June 30, 2022
   $ 24.47     $ 14.53     $ 33.49     $ 22.93     $ 40.02  
Total Return, at net asset value^
     (28.9 )%      17.0     (29.2 )%      (64.2 )%      (82.8 )% 
Total Return, at market value^
     (29.6 )%      16.9     (29.2 )%      (64.0 )%      (83.5 )% 
Ratios to Average Net Assets**
          
Expense ratio^^
     0.98     1.65     0.95     1.18     1.47
Net investment income gain (loss)
     (0.75 )%      (1.53 )%      (0.67 )%      (0.95 )%      (1.30 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2022.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95% and 0.95%, respectively, if non-recurring fees and expenses, and brokerage commissions and futures account fees were excluded.
 
For the Six Months Ended June 30, 2022 (unaudited)
 
Per Share Operating
Performance
  
UltraShort
Euro
   
UltraShort
Gold
   
UltraShort
Silver
*
   
UltraShort
Yen*
   
VIX Mid-
Term Futures
ETF
   
VIX Short-
Term Futures
ETF
*
 
Net asset value, at December 31, 2021
   $ 25.84     $ 31.71     $ 26.77     $ 41.50     $ 30.61     $ 15.12  
Net investment income (loss)
     (0.11     (0.12     (0.11     (0.17     (0.14     (0.09
Net realized and unrealized gain (loss)#
     4.65       (0.04     5.08       15.73       4.82       3.19  
Change in net asset value from operations
     4.54       (0.16     4.97       15.56       4.68       3.10  
Net asset value, at June 30, 2022
   $ 30.38     $ 31.55     $ 31.74     $ 57.06     $ 35.29     $ 18.22  
Market value per share, at December 31, 2021
   $ 25.86     $ 31.66     $ 26.84     $ 41.50     $ 30.57     $ 15.17  
Market value per share, at June 30, 2022
   $ 30.41     $ 31.59     $ 32.19     $ 57.13     $ 35.38     $ 18.25  
Total Return, at net asset value^
     17.5     (0.5 )%      18.6     37.5     15.3     20.4
Total Return, at market value^
     17.6     (0.2 )%      19.9     37.7     15.7     20.3
Ratios to Average Net Assets**
            
Expense ratio^^
     0.95     1.00     1.07     0.95     1.02     1.20
Net investment income gain (loss)
     (0.75 )%      (0.81 )%      (0.86 )%      (0.72 )%      (0.87 )%      (1.04 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2022.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95%, 0.85% and 0.85%, respectively, if non-recurring fees and expenses, and brokerage commissions and futures account fees were excluded.
 
Selected Data for a Share Outstanding Throughout the six Months Ended June 30, 2021
 
For the Six Months Ended June 30, 2021 (unaudited)
Per Share Operating
Performance
  
Short VIX
Short-Term

Futures ETF
   
Ultra
Bloomberg
Crude Oil*
   
Ultra
Bloomberg
Natural Gas
   
Ultra Euro
   
Ultra Gold
 
Net asset value, at December 31, 2020
   $ 41.42     $ 9.10     $ 21.00     $ 15.79     $ 67.57  
Net investment income (loss)
     (0.31     (0.07     (0.17     (0.07     (0.29
Net realized and unrealized gain (loss)#
     14.50       10.53       14.50       (1.05     (10.00
Change in net asset value from operations
     14.19       10.46       14.33       (1.12     (10.29
Net asset value, at June 30, 2021
   $ 55.61     $ 19.56     $ 35.33     $ 14.67     $ 57.28  
Market value per share, at December 31, 2020
   $ 41.44     $ 9.07     $ 21.07     $ 15.81     $ 68.20  
Market value per share, at June 30, 2021
   $ 55.55     $ 19.56     $ 37.17     $ 14.66     $ 57.22  
Total Return, at net asset value^
     34.3     115.0     68.3     (7.1 )%      (15.2 )% 
Total Return, at market value^
     34.1     115.7     76.4     (7.3 )%      (16.1 )% 
Ratios to Average Net Assets**
          
Expense ratio^^
     1.36     1.11     1.53     0.95     1.01
Net investment income gain (loss)
     (1.33 )%      (1.06 )%      (1.47 )%      (0.90 )%      (0.96 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2021.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95% and 0.95%, respectively, if non-recurring fees and expenses, and brokerage commissions and futures account fees were excluded.
 
For the Six Months Ended June 30, 2021 (unaudited)
 
Per Share Operating
Performance
  
Ultra Silver
   
Ultra VIX
Short-Term

Futures ETF
*
   
Ultra Yen
   
UltraShort
Bloomberg
Crude Oil
*
   
UltraShort
Bloomberg
Natural Gas
*
 
Net asset value, at December 31, 2020
   $ 50.71     $ 106.68     $ 59.83     $ 232.23     $ 951.82  
Net investment income (loss)
     (0.24     (0.55     (0.25     (0.81     (5.26
Net realized and unrealized gain (loss)#
     (4.50     (78.22     (8.34     (140.86     (515.49
Change in net asset value from operations
     (4.74     (78.77     (8.59     (141.67     (520.75
Net asset value, at June 30, 2021
   $ 45.97     $ 27.91     $ 51.24     $ 90.56     $ 431.07  
Market value per share, at December 31, 2020
   $ 51.28     $ 106.50     $ 59.82     $ 232.80     $ 947.60  
Market value per share, at June 30, 2021
   $ 46.12     $ 27.98     $ 51.26     $ 90.55     $ 408.80  
Total Return, at net asset value^
     (9.4 )%      (73.8 )%      (14.4 )%      (61.0 )%      (54.7 )% 
Total Return, at market value^
     (10.1 )%      (73.7 )%      (14.3 )%      (61.1 )%      (56.9 )% 
Ratios to Average Net Assets**
          
Expense ratio^^
     1.04     1.76     0.95     1.27     1.60
Net investment income gain (loss)
     (0.99 )%      (1.71 )%      (0.90 )%      (1.20 )%      (1.56 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2021.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95% and 0.95%, respectively, if non-recurring fees and expenses, and brokerage commissions and futures account fees were excluded.
 
For the Six Months Ended June 30, 2021 (unaudited)
 
Per Share Operating
Performance
  
UltraShort
Euro
   
UltraShort
Gold
   
UltraShort
Silver
*
   
UltraShort
Yen*
   
VIX Mid-
Term Futures
ETF
   
VIX Short-
Term Futures
ETF
*
 
Net asset value, at December 31, 2020
   $ 22.53     $ 31.43     $ 27.73     $ 33.91     $ 36.73     $ 55.03  
Net investment income (loss)
     (0.10     (0.17     (0.13     (0.16     (0.18     (0.23
Net realized and unrealized gain (loss)#
     1.38       3.41       (4.23     5.22       (6.04     (30.71
Change in net asset value from operations
     1.28       3.24       (4.36     5.06       (6.22     (30.94
Net asset value, at June 30, 2021
   $ 23.81     $ 34.67     $ 23.37     $ 38.98     $ 30.51     $ 24.09  
Market value per share, at December 31, 2020
   $ 22.52     $ 31.14     $ 27.40     $ 33.91     $ 36.70     $ 54.96  
Market value per share, at June 30, 2021
   $ 23.82     $ 34.69     $ 23.28     $ 38.99     $ 30.54     $ 24.08  
Total Return, at net asset value^
     5.7     10.3     (15.7 )%      15.0     (16.9 )%      (56.2 )% 
Total Return, at market value^
     5.8     11.4     (15.0 )%      14.9     (16.8 )%      (56.2 )% 
Ratios to Average Net Assets**
            
Expense ratio^^
     0.95     1.04     1.10     0.95     1.05     1.25
Net investment income gain (loss)
     (0.90 )%      (0.99 )%      (1.07 )%      (0.90 )%      (1.00 )%      (1.21 )% 
 
*
See Note 1 of these Notes to Financial Statements.
**
Percentages are annualized.
#
The amount shown for a share outstanding throughout the period may not accord with the change in aggregate gains and losses during the period because of timing of creation and redemption units in relation to fluctuating net asset value during the period.
Market values are determined at the close of the applicable primary listing exchange, which may be later than when the Funds’ net asset value is calculated.
^
Percentages are not annualized for the period ended June 30, 2021.
^^
The expense ratio would be 0.95%, 0.95%, 0.95%, 0.95%, 0.85% and 0.85%, respectively, if non-recurring fees and expenses, and brokerage commissions and futures account fees were excluded.