Deepblue why is our OVV performance so badLess upside potential...greater downside risk? US markets?
This is always important to monitor.
Tracking from June 30th. From small to mid to large check my list.
Rank/Ticker/Jun30 to today % decline
1-WCP -12.7%
2-ERF -14.4%
3-TVE -14.4%
4-MEG -14.9%
5-NNRRG -15.3% Nine point ETF
6-BTE -16.7%
7-CJ -16.9%
8-CVE -18.7%
9-OVV -19% (we nailing it?)
10-ATH -20.4%
11-VET -23.2%
12-CPG -28.5% (this one is bad)