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BSWN

UBS AG VelocityShares VIX Tail Risk ETN linked to the S&P 500

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Summary

The investment seeks to track the performance of S&P 500 VIX Futures Tail Risk Index TR ¿ Short Term (the ¿Tail Risk Index¿). Each of the 13 sub-portfolios has a target exposure of a 45% two times leveraged long position and a 55% unleveraged short position in the Short-Term Futures Index, which is intended to result in a net long position in VIX futures.

Market Cap: 37.9 Million

Primary Exchange: NYSE Arca

Website:

Shares Outstanding: 2.11 Million

Float: 2.11 Million

Dividend: 0.0 (0.0%)

Beta: 0.0

Sector:

Industry:

Ethical Flags

Longest drawdown: 365 trading days

From: 2016-09-08 To: 2018-06-25

Lowest Point:

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