RYEUX Rating, Research - Rydex Europe 1.25X Strategy H

Rydex Europe 1.25X Strategy H (ryeux)

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Short Term Rating Stock Ratings Help

Asset Allocation (% of Port)

US Stocks
Non-US Stocks

Geographic Allocation (% of Port)

North America
South America
Australia + Pacific Islands
Long Term Rating Stock Ratings Help


SWOT Statistics

Strengths + Opportunities = 34

Threats + Weaknesses = 22

When strengths & opportunities substantially exceed threats & weaknesses an investment in the ryeux mutual fund has great long term potential.

Fund Management Team

Fund Description Update

Rydex Europe 1.25X Strategy H (RYEUX) Description: RYEUX is a mutual fund, which is an investment that owns a basket of assets. The RYEUX mutual fund was provided by Rydex and this investment vehicle derives the majority of its value from equity holdings (stocks). Rydexs mutual fund has a long management tenure and is in the small fund size classification. RYEUXs minimum initial investment amount is $2500 while the IRA minimum is $1000. RYEUXs expense ratio is roughly 2%. The latest RYEUXs front end load was 0% and the back end load was 0%. The Rydex Europe 1.25X Strategy H (RYEUX) mutual fund falls under the europe stock category. RYEUX focuses its investments in EU and RYEUX is not affiliated with a particular industry or fund sector. The Rydex Europe 1.25X Strategy H (RYEUX) mutual fund is not a leveraged fund and it does not have inverse fund properties. An investor can find RYEUXs top holdings, fundamental analysis, ratings, and fund risk (volatility) on the left side of the screen. The right side of RYEUXs research report features technical analysis and long term investment potential.

Portfolio Strategy Update

This investment vehicle seeks investment results that correlate to the performance of the Dow Jones Stoxx 50 index. The fund invests at least 80% of net assets in securities of companies in its underlying index and derivatives and other instruments whose performance is expected to correspond to that of the underlying index. It attempts to consistently apply leverage to increase the funds exposure to 125% of the underlying index. The funds non-diversified.

Management Analysis Update

Performance Analysis Update