Open | 29.32 |
Previous Close | 29.95 |
Day Range | 28.93 - 29.52 |
52-Week Range | 28.93 - 34.34 |
All-Time High | 34.34 |
Avg. Volume (50-day) | 84,211.12 |
EPS (TTM) | - |
Next Earnings Date | - |
Last Earnings Date | - |
Forward Annual Dividend (Yield) | - |
Trailing Annual Dividend (Yield) | - |
Options | No |
P/E Ratio | - |
PEG Ratio | - |
Price to Book | - |
Price to Cash Flow | - |
Price to Free Cash Flow | - |
Total Sales (TTM) | - |
Revenue per Share (TTM) | - |
Shares Outstanding | 4.700 M |
Share Float (%) | - |
% Held by Institutions | - |
Dividends Per Share (TTM) | - |
Ex-Dividend Date | - |
+/- EMA(20) | 30.84 (-5.64%) |
+/- SMA(50) | 31.95 (-8.92%) |
+/- SMA(200) | 32.28 (-9.85%) |
5-Day Perf. | -5.59% |
1-Month Perf. | -7.06% |
3-Month Perf. | -12.1% |
6-Month Perf. | -9.99% |
YTD Perf. | -11.02% |
1-Year Perf. | -4.72% |
RSI(14) | 19.46 |
ATR(14) | 0.34 |
ADX(14) | 42.25 |
Beta (5Y) | 0.54 |
KAPR aims for specific buffered losses and capped gains on the Russell 2000 over a specific holdings period. The actively-managed fund holds options and collateral.
KAPR has triggered the following predefined scans:
P&F High Pole |
New 52-week Lows |
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