The following table lists the top 100 exchange-traded funds in terms of 13-week returns. These are the
100 ETFs that have had the highest percentage gain over the last 13 weeks. You may
also wish to see the 100 ETFs with the lowest 13-week returns.
This data may include leveraged and inverse ETFs. To exclude leveraged and inverse ETFs from the table
below, click here.
| Symbol |
Name |
13 Week Yield |
AUM |
Avg Volume |
|
FKO
|
South Korea AlphaDEX Fund
|
694.48%
|
$2.4 M
|
1,207
|
|
DSLV
|
3x Inverse Silver ETN
|
101.96%
|
$30.0 M
|
192,778
|
|
DUST
|
Daily Gold Miners Bear 3x Shares
|
79.80%
|
$83.6 M
|
785,145
|
|
ZSL
|
UltraShort Silver
|
61.64%
|
$118.6 M
|
497,814
|
|
TAN
|
Solar ETF
|
48.19%
|
$110.8 M
|
225,526
|
|
DGLD
|
3x Inverse Gold ETN
|
47.83%
|
$10.5 M
|
107,651
|
|
SOXL
|
Daily Semiconductor Bull 3x Shares
|
39.32%
|
$65.2 M
|
258,660
|
|
RETL
|
Daily Retail Bull 3x Shares
|
37.65%
|
$16.1 M
|
8,200
|
|
DZZ
|
DB Gold Double Short ETN
|
35.91%
|
$91.7 M
|
862,883
|
|
KWT
|
Market Vectors Solar Energy ETF
|
32.27%
|
$15.0 M
|
4,734
|
|
GLL
|
UltraShort Gold
|
32.23%
|
$154.6 M
|
412,122
|
|
BZQ
|
UltraShort MSCI Brazil
|
32.23%
|
$14.7 M
|
12,572
|
|
CURE
|
Daily Healthcare Bull 3X Shares
|
30.61%
|
$37.8 M
|
34,603
|
|
QCLN
|
NASDAQ Clean Edge Green Energy Index Fund
|
29.63%
|
$49.0 M
|
44,986
|
|
BIB
|
Ultra Nasdaq Biotechnology
|
28.96%
|
$91.5 M
|
52,214
|
|
GRN
|
Global Carbon ETN
|
28.63%
|
$0.9 M
|
10,872
|
|
ICLN
|
S&P Global Clean Energy Index Fund
|
26.58%
|
$36.3 M
|
22,238
|
|
USD
|
Ultra Semiconductors
|
25.31%
|
$35.7 M
|
17,914
|
|
FINU
|
UltraPro Financials
|
24.77%
|
$13.8 M
|
4,135
|
|
GEX
|
Market Vectors Global Alternative Energy ETF
|
24.58%
|
$72.1 M
|
47,354
|
|
FAS
|
Daily Financial Bull 3X Shares
|
24.28%
|
$1,325.3 M
|
7,646,043
|
|
TQQQ
|
UltraPro QQQ
|
23.01%
|
$209.9 M
|
1,867,018
|
|
DOIL
|
3x Inverse Brent Crude ETN
|
22.42%
|
$0.9 M
|
700
|
|
PBW
|
WilderHill Clean Energy Portfolio
|
22.02%
|
$173.3 M
|
334,082
|
|
UPRO
|
UltraPro S&P 500
|
21.23%
|
$415.0 M
|
3,202,217
|
|
RXL
|
Ultra Health Care
|
20.87%
|
$70.3 M
|
25,097
|
|
SPXL
|
Daily S&P 500 Bull 3x Shares
|
20.85%
|
$252.7 M
|
1,430,048
|
|
UCC
|
Ultra Consumer Services
|
20.18%
|
$16.6 M
|
5,320
|
|
QQQC
|
NASDAQ China Technology ETF
|
19.42%
|
$3.3 M
|
1,181
|
|
UDOW
|
UltraPro Dow30
|
19.36%
|
$69.0 M
|
241,398
|
|
PBD
|
Global Clean Energy Portfolio
|
17.96%
|
$72.5 M
|
37,977
|
|
CQQQ
|
China Technology ETF
|
17.70%
|
$21.3 M
|
9,105
|
|
URTY
|
UltraPro Russell2000
|
17.08%
|
$121.4 M
|
459,192
|
|
DGZ
|
DB Gold Short ETN
|
17.04%
|
$92.6 M
|
310,118
|
|
TNA
|
Daily Small Cap Bull 3X Shares
|
16.91%
|
$553.4 M
|
10,084,260
|
|
CROC
|
UltraShort Australian Dollar
|
16.90%
|
$21.4 M
|
23,044
|
|
TECL
|
Daily Technology Bull 3x Shares
|
16.49%
|
$116.0 M
|
96,765
|
|
LTL
|
Ultra Telecommunications ProShares
|
16.39%
|
$5.1 M
|
740
|
|
UYG
|
Ultra Financials
|
16.18%
|
$783.9 M
|
407,555
|
|
XPH
|
SPDR S&P Pharmaceuticals ETF
|
16.13%
|
$445.8 M
|
44,372
|
|
PGJ
|
Golden Dragon Halter USX China Portfolio
|
16.09%
|
$192.0 M
|
42,335
|
|
QLD
|
Ultra QQQ
|
15.32%
|
$506.5 M
|
2,332,772
|
|
UKK
|
Ultra Russell2000 Growth
|
15.31%
|
$15.6 M
|
5,830
|
|
PMR
|
Dynamic Retail
|
14.97%
|
$26.3 M
|
9,223
|
|
FAN
|
ISE Global Wind Energy Index Fund
|
14.43%
|
$24.4 M
|
13,774
|
|
IBB
|
Nasdaq Biotechnology
|
14.21%
|
$3,030.9 M
|
692,426
|
|
CARZ
|
NASDAQ Global Auto Index Fund
|
14.08%
|
$19.0 M
|
16,754
|
|
SSO
|
Ultra S&P500
|
14.01%
|
$2,619.3 M
|
6,444,674
|
|
UGE
|
Ultra Consumer Goods
|
14.00%
|
$15.3 M
|
3,141
|
|
UWTI
|
3x Long Crude ETN
|
13.98%
|
$2.8 M
|
6,360
|
|
SINF
|
UltraPro Short 10 Year TIPS/TSY Spread
|
13.88%
|
$2.1 M
|
6,241
|
|
PBE
|
Dynamic Biotech &Genome
|
13.74%
|
$159.8 M
|
20,905
|
|
PJP
|
Dynamic Pharmaceuticals
|
13.73%
|
$527.7 M
|
127,037
|
|
UMDD
|
UltraPro MidCap400
|
13.63%
|
$25.7 M
|
52,355
|
|
XRT
|
SPDR S&P Retail ETF
|
13.61%
|
$827.4 M
|
3,986,086
|
|
UVG
|
Ultra Russell1000 Value
|
13.52%
|
$7.4 M
|
1,490
|
|
MIDU
|
Daily Mid Cap Bull 3x Shares
|
13.51%
|
$48.8 M
|
82,582
|
|
MES
|
Market Vectors Gulf States Index ETF
|
13.43%
|
$13.6 M
|
6,165
|
|
PSCD
|
S&P SmallCap Consumer Discretionary Portfolio
|
13.42%
|
$77.4 M
|
6,705
|
|
BXUC
|
Barclays Long C Leveraged S&P 500 TR ETN
|
13.37%
|
$23.2 M
|
533
|
|
SAA
|
Ultra SmallCap600
|
13.24%
|
$27.8 M
|
5,311
|
|
UWC
|
Ultra Russell3000
|
13.14%
|
$6.3 M
|
1,836
|
|
MLPL
|
E-TRACS 2x Leveraged Long Alerian MLP Infrastructure Index
|
13.02%
|
$182.8 M
|
71,355
|
|
DDM
|
Ultra Dow30
|
12.94%
|
$251.7 M
|
298,291
|
|
SOXX
|
PHLX SOX Semiconductor Sector Index Fund
|
12.84%
|
$224.8 M
|
209,897
|
|
PBS
|
Dynamic Media
|
12.82%
|
$165.1 M
|
151,365
|
|
PEZ
|
Dynamic Consumer Discretionary
|
12.61%
|
$21.7 M
|
15,122
|
|
IHF
|
Dow Jones U.S. Health Care Providers Index
|
12.60%
|
$336.8 M
|
37,074
|
|
GULF
|
Middle East Dividend ETF
|
12.35%
|
$17.9 M
|
13,448
|