RYCIX
Rydex Consumer Products Fund Class Investor
1W: -1.9%
1M: -7.4%
3M: -6.4%
YTD: +2.2%
1Y: -15.5%
3Y: -9.2%
5Y: -11.2%
$124.48
+0.77 (+0.62%)
Weekly Expected Move ±1.3%
$120
$122
$124
$125
$127
No institutional holdings data available for RYCIX
Institutional holdings are sourced from SEC 13F filings and may not be available for all securities.