VI

VIXY

ProShares VIX Short-Term Futures ETF

NYSEARCA
Market Cap
P/E Ratio
0.00
Dividend Yield
0.00%
Volume
52W High
52W Low
Avg Volume
52W Range

Financial Statements

What does this mean?

Income statement, balance sheet, and cash flow over time

Metric
No financial data available

Institutional Ownership

What does this mean?

Top institutions holding VIXY

Institution Shares Held Value Date
Vanguard Group 150,000,000 $25,000,000,000 Oct 2025
BlackRock 140,000,000 $23,500,000,000 Oct 2025
State Street 80,000,000 $13,500,000,000 Nov 2025
Fidelity 65,000,000 $11,000,000,000 Oct 2025
Geode Capital 35,000,000 $5,900,000,000 Oct 2025

Top ETFs holding VIXY

ETF Weight Shares
QQQ 8.50% 32,713,796
VGT 6.20% 26,022,769
SPY 4.50% 12,857,091
IVV 4.20% 21,988,474
VOO 3.80% 24,614,787

Frequently Asked Questions

Common questions about VIXY

ProShares VIX Short-Term Futures ETF (VIXY) is a publicly traded company listed on NYSEARCA. ETF that seeks exposure to short-term VIX futures; often used as a volatility hedge (highly risky and complex). It operates in the Volatility industry within the ETF sector.

The current stock price of VIXY is $17.65, with a change of +1.26% in the latest session. Stock prices are updated during market hours and may be delayed.

VIXY does not currently pay regular dividends. Many growth companies choose to reinvest earnings into the business rather than distribute them as dividends.

The P/E (Price-to-Earnings) ratio of VIXY is 0.00. This relatively low P/E may indicate value potential or market concerns. The P/E ratio compares the stock price to earnings per share and is commonly used for valuation.

VIXY has a market capitalization of $700.00 million, making it a small-cap company. Market cap is calculated by multiplying the current stock price by the total number of outstanding shares.

The 52-week trading range for VIXY is $14.20 (low) to $29.50 (high). This range represents the lowest and highest prices the stock has traded at over the past year.

VIXY belongs to the ETF sector specifically in the Volatility industry. Understanding a company's sector helps investors compare it to peers and understand industry-specific trends that may affect performance.

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About

ETF that seeks exposure to short-term VIX futures; often used as a volatility hedge (highly risky and complex).

CEO
N/A
Industry
Volatility
Sector
ETF
IPO Date
Jan 3, 2011

Analyst Ratings

What does this mean?
Goldman Sachs
Dec 16, 2025
Buy
Piper Sandler
Dec 13, 2025
Buy
Morgan Stanley
Dec 7, 2025
Buy
Morgan Stanley
Nov 29, 2025
Buy
Bernstein
Nov 22, 2025
Overweight
Piper Sandler
Nov 20, 2025
Buy
JPMorgan
Nov 20, 2025
Hold
Piper Sandler
Nov 15, 2025
Buy
Morgan Stanley
Nov 12, 2025
Buy
JPMorgan
Nov 12, 2025
Hold
Price Target
$18.36