What this is

A scan tool for U.S.-listed leveraged ETFs and ETNs — funds that promise a daily multiple (±1.5×, ±2×, ±3×) of some target: a broad index like the S&P 500 or Nasdaq-100, a sector or industry basket, a single mega-cap stock, or a thematic basket. The dashboard does not give advice. It surfaces what's popping, what's stretched, what's oversold, and what's near 52-week lows, so you can scan the whole universe in a few minutes rather than reading 143 factsheets.

How to read it

The filter bar at the top narrows the universe by direction, leverage, exposure type, and product (ETF vs ETN). Every chart, table, and KPI below reacts to the filter in one click. The timeframe pills next to the main line chart drive the headline KPIs, the Movers tables, and the Risk vs Drawdown scatter — flip them to see how the picture changes over 1M, 3M, YTD, 1Y, 3Y, 5Y, or 10Y. The Signal Board is your daily scan: Leaders, Laggards, Stretched, Oversold, and Near Lows. Click any row in the screener for holdings, KPIs, signal flags, and the optional TQQQ 9Sig watch context when it applies.

9Sig — Jason Kelly's leveraged NDX plan

TQQQ + AGG quarterly rebalance · last action Apr 6, 2026 · next action Jun 29, 2026 · TQQQ $85.22 / AGG $98.33 live · updated Jun 5, 2026 · 4:00 PM ET

If quarter ended now
SELL
Sell 59,338 TQQQ (~$5.06M surplus → AGG)
Holding Shares Price Value Allocation
TQQQ 3× NDX 133,842 $85.22 $11.41M 90.3%
AGG bonds 12,425 $98.33 $1.22M 9.7%
Portfolio $12.63M 100%
Quarterly gain since rebal
+93.5%
TQQQ from $44.03 → $85.22
Spike reset trigger
$88.06
TQQQ close ≥ this → reset to 60/40
Distance to trigger
$+2.84
+3.3% TQQQ move needed
30-Down trigger
$36.90
activates if quarter close < this
Direction
Leverage
Exposure
Product
143 of 143 funds

Daily Scan

Five quick scans across the filtered universe — Leaders and Laggards by overall return, Stretched and Oversold by RSI and 52-week distance, and Near Lows for funds within 15% of their year low. Click a tab to switch the lens. Designed as a 60-second "what's standing out today" check.

Daily scan board — what's standing out today

Five quick scans across the filtered universe. Each tab ranks the top 10 funds by its own signal. Leaders: strongest overall performers. Laggards: weakest overall performers. Oversold: RSI 14 below 30, or sitting near the 52-week low. Stretched: RSI above 70 or far above the 50-day moving average. Near Lows: within 15% of the 52-week low. All labels are analytical — not trade signals.

Performance

Headline cumulative return chart with timeframe pills (1M / 3M / YTD / 1Y / 3Y / 5Y / 10Y). The pills here drive the KPIs above and the Movers / Risk-vs-Drawdown views below — switch them to compress or expand the time horizon for every analytic in the dashboard. Useful for sanity-checking whether the period you're looking at is dominated by one big move or by steady drift.

Cumulative return over the selected window

Each line is one fund, rebased to zero at the start of the timeframe selected on the pills below. Colour follows the leverage tier (3× teal, 2× blue, ±2×/±3× terra/rose, etc.) and ticker labels sit at the right edge of each line. To keep the chart readable we show only the 15 funds with the largest absolute return over the selected window; everything else is filterable in the screener.

Range

Movers & Risk

Two views of the timeframe you've picked above: ranked best/worst movers (the asymmetry between leveraged-long winners and inverse-fund losers is most visible during strong directional moves), and the classic risk-vs-drawdown scatter — return earned per dollar of pain, with both axes bounded at the −100% mathematical floor of a daily-reset LETF.

Best and worst movers YTD

Top 8 and bottom 8 funds in the filtered set, ranked over the timeframe selected on the chart above. Useful for the at-a-glance "what's leading vs lagging right now" question, and for spotting the asymmetry between leveraged-long winners and inverse-fund losers during strong directional moves.

Best YTD
TickerTargetYTD
Worst YTD
TickerTargetYTD

Return vs maximum drawdown

For each filtered fund: return over the selected timeframe (y-axis) plotted against the worst peak-to-trough fall over the past year (x-axis). The classic risk/return chart for leveraged products — drawdown is more visceral than annualized volatility because it's the actual money you'd have watched drain at the worst moment. Both axes are bounded at −100% (the math limit for a daily-reset LETF — you can lose all your principal but no more).

How to read it

Each dot is a fund. The x-axis shows worst-case pain — the largest drawdown over the past year, where 0% means never fell from a high and -100% means total loss. The y-axis shows the fund's return over the timeframe pill you have selected. Marker size and colour both group funds by leverage tier (3× lines are largest and teal/rose). Best zone: upper-right — strong returns earned with shallow drawdowns. Worst zone: lower-left — deep drawdowns with no upside to compensate. Trading liquidity is not shown here on purpose; click any row in the table below to see it for a specific fund.

Trend & Drawdown

Two technical views. Trend vs Stretch plots distance from the 200-day moving average against RSI 14 — a quick map of which funds are stretched, oversold, or sitting in neutral territory. The Drawdown map separates funds within striking distance of their 52-week lows from those that just printed fresh 1-year highs.

Trend vs Stretch

Two technical indicators on one chart: x-axis shows percent distance from the 200-day moving average (long-term trend), y-axis shows RSI 14 (short-term momentum oscillator, 0–100 scale). To keep it readable we label only the most stretched and most oversold outliers, plus TQQQ always. Marker size scales with realized volatility — bigger dots are the more volatile funds.

How to read it

Each dot is a fund. x-axis: % distance from 200-day moving average — funds far to the right are well above their long-term trend (stretched), funds far to the left have broken below it. y-axis: RSI 14 — momentum oscillator, above 70 = overheated, below 30 = oversold. Colour: trend regime. Best: middle-right (uptrending, momentum healthy). Caution: top-right (stretched + overheated) or bottom-left (broken + oversold). Crosshairs mark the canonical neutral lines (0% MA distance and RSI 50).

Drawdown map

Three ranked columns showing where the filtered universe sits in its 52-week range. Near 52W low = closest to the year's bottom (think "things usually don't go much lower from here" candidates). Deepest from ATH = largest pullbacks from all-time high regardless of when that high was set. New 1Y highs = funds that just printed a 252-day high, sorted by 20-day return.

Near 52W low
Deepest from ATH
New 1Y highs

Signal Lists

Three compact ranked lists for the daily scan workflow: what's working, what's stretched, and what's weakening. Designed to be skimmed top-to-bottom in under a minute. The same five signal categories from the Daily Scan board, but reorganized into "actionable" groupings rather than tabs.

Performance, stretch, and weak spots

Three compact ranked lists for the core scan: what is working, what is stretched, and what is still weak or washed out. The full sortable universe remains in the screener below.

Best YTD
Stretched
Weak / low

TQQQ gets a small Kelly 9Sig watch card because it is the canonical fund for that discipline. Other ETFs are evaluated by ordinary performance, trend, stretch, and drawdown signals first.

Screener

The filtered universe as a sortable table — click any row to expand holdings, per-fund KPIs, signal flags, and the optional TQQQ 9Sig watch context when applicable. Filter and timeframe selections from above propagate here, so what you see is consistent with the rest of the dashboard. Best as the destination tool when you want to drill into a specific ticker.

The screener

All filtered funds. Click a row to expand its top holdings, full KPI grid, and source confidence. Click a column header to sort.

Ticker Issuer Lev Target Price YTD 1Y 5Y Vol β 60d
AAPB GraniteShares +2× Apple $39.67 +23.7% +98.1% 45 1.99
AAPD Direxion -1× Apple $11.33 -13.6% -37.0% 22 -1.01
AAPU Direxion +2× Apple $41.75 +24.3% +96.5% 45 1.98
AMDL GraniteShares +2× AMD $77.00 +395.2% +1189.8% 130 1.93
AMDS GraniteShares -2× AMD $13.12 +0.0% +2.5% 53 -1.10
AMZD Direxion -1× Amazon $9.12 -9.3% -22.2% 30 -1.01
AMZU Direxion +2× Amazon $38.48 +10.1% +14.7% 60 1.99
AVL GraniteShares +2× Broadcom $75.34 +70.9% +119.7% 87 1.97
BABX GraniteShares +2× Alibaba $23.38 -35.1% -14.4% 87 2.01
BERZ BMO -3× Solactive FANG & Innovation $21.53 -62.0% -85.5% 76
BNKD BMO -3× Solactive MicroSectors Big Banks $40.64 -20.0% -65.6% 57 -2.61
BNKU BMO +3× Solactive MicroSectors Big Banks $33.35 -1.6% +85.6% 57 2.49
BRZU Direxion +2× MSCI Brazil $88.90 +11.5% +51.1% -35.9% 50 2.01
BULZ BMO +3× Solactive FANG & Innovation $47.70 +83.8% +238.8% 75
COND Direxion -1× Coinbase
CONI Direxion +2× Coinbase $59.49 -12.8% -51.5% 141 -2.00
CONL GraniteShares +2× Coinbase $5.18 -64.6% -78.2% 139 2.00
CURE Direxion +3× Health Care Select Sector $102.06 -8.5% +34.2% +7.9% 44 2.90
CWEB Direxion +2× CSI Overseas China Internet $23.75 -40.8% -36.3% -94.9% 55 2.00
DDM ProShares +2× Dow Jones Industrial Avg $64.04 +12.6% +40.3% +74.9% 24 1.98
DFEN Direxion +3× Dow Jones Aerospace & Defense $65.23 +2.1% +44.4% +149.9% 64 3.06
DIG ProShares +2× Oil & Gas $60.02 +66.3% +93.6% +216.3% 41 2.02
DOG ProShares -1× Dow Jones Industrial Avg $22.03 -6.2% -17.4% -35.0% 12 -1.01
DPST Direxion +3× S&P Regional Banks $105.59 +4.5% +34.9% -80.6% 69 2.97
DRIP Direxion -2× S&P Oil & Gas E&P $4.49 -50.3% -58.8% -93.9% 56 -1.96
DRN Direxion +3× Real Estate Select Sector $10.73 +25.9% +10.4% -50.5% 41 3.01
DRV Direxion -3× Real Estate Select Sector $19.51 -26.4% -23.2% -63.7% 41 -2.78
DUG ProShares -2× Oil & Gas $17.88 -45.0% -56.4% -92.2% 41 -1.97
DUSL Direxion +3× Industrials Select Sector $88.39 +30.9% +40.2% +87.1% 47 3.00
DUST Direxion -2× NYSE Arca Gold Miners $55.48 -25.4% -76.9% -96.3% 91 -1.95
DXD ProShares -2× Dow Jones Industrial Avg $17.81 -13.1% -32.2% -61.7% 25 -2.02
EDC Direxion +3× MSCI Emerging Markets $85.10 +56.0% +141.3% -23.6% 61 2.98
EDZ Direxion -3× MSCI Emerging Markets $17.13 -51.9% -72.2% -76.7% 61 -3.00
ERX Direxion +2× Energy Select Sector $92.69 +66.0% +93.6% +208.9% 41 2.01
ERY Direxion -2× Energy Select Sector $10.95 -44.9% -56.1% -91.9% 41 -1.96
FAS Direxion +3× Russell 1000 Financial $137.78 -18.1% -10.1% +10.0% 44 2.94
FAZ Direxion -3× Russell 1000 Financial $42.64 +11.0% -13.5% -82.3% 44 -2.97
FNGD BMO -3× NYSE FANG+ $34.17 -35.2% -56.0% -99.5% 60 -2.91
FNGU BMO +3× NYSE FANG+ $30.69 +21.5% +45.7% 59 2.80
GGLL Direxion +2× Alphabet $117.64 +21.4% +273.3% 58 1.98
GGLS Direxion -1× Alphabet $5.76 -15.0% -56.8% 29 -1.03
GUSH Direxion +2× S&P Oil & Gas E&P $37.64 +71.9% +80.4% +57.1% 55 2.00
HIBL Direxion +3× S&P 500 High Beta $128.89 +96.3% +270.4% +65.7% 66 2.95
HIBS Direxion -3× S&P 500 High Beta $20.23 -59.9% -83.1% -98.1% 68 -3.11
INDL Direxion +2× MSCI India $43.04 -24.3% -28.0% -20.3% 30 2.01
JDST Direxion -2× MVIS Junior Gold Miners $37.89 -28.0% -79.2% -97.7% 99 -1.95
JNUG Direxion +2× MVIS Junior Gold Miners $161.01 -22.0% +94.3% +48.5% 99 1.99
KORU Direxion +3× MSCI Korea $813.42 +347.9% +1200.6% +79.6% 129 3.05
LABD Direxion -3× S&P Biotechnology Select $13.78 -34.6% -81.8% -94.3% 76 -3.06
LABU Direxion +3× S&P Biotechnology Select $175.70 +10.2% +208.8% -85.7% 76 2.94
METD Direxion -1× Meta Platforms $16.05 +1.3% -1.7% 36 -0.99
METU Direxion +2× Meta Platforms $25.41 -20.9% -35.9% 70 2.03
MEXX Direxion +3× MSCI Mexico $31.29 +25.2% +86.8% +84.3% 63 2.92
MIDU Direxion +3× S&P MidCap 400 $70.46 +38.8% +66.7% +10.1% 46 2.97
MSFD Direxion -1× Microsoft $12.64 +9.8% +4.2% 25 -1.00
MSFL GraniteShares +2× Microsoft $19.66 -27.7% -25.2% 50 1.99
MSFU Direxion +2× Microsoft $29.81 -28.1% -33.2% 51 2.00
MSTU Tuttle +2× MicroStrategy $3.56 -57.1% -95.2% 139 1.97
MSTX Defiance +2× MicroStrategy $16.45 -57.3% -95.3% 140 1.98
MSTZ Tuttle -2× MicroStrategy $9.55 -44.3% +85.4% 140 -2.02
MVV ProShares +2× S&P MidCap 400 $88.32 +26.7% +45.6% +34.2% 31 1.99
MYY ProShares -1× S&P MidCap 400 $15.42 -12.0% -20.3% -36.5% 16 -1.01
MZZ ProShares -2× S&P MidCap 400 $6.05 -23.6% -37.8% -65.7% 31 -2.02
NAIL Direxion +3× Dow Jones Select Home Construction $37.87 -23.7% -25.3% -54.3% 87 2.97
NFLU Direxion +2× Netflix $21.95 -32.3% -64.6% 67 2.06
NFXS Direxion -1× Netflix $19.12 +10.7% +38.2% 33 -0.96
NUGT Direxion +2× NYSE Arca Gold Miners $148.80 -19.1% +89.7% +96.1% 90 1.96
NVDD Direxion -1× NVIDIA $32.19 -16.1% -38.6% 34 -0.99
NVDL GraniteShares +2× NVIDIA $105.20 +19.5% +87.9% 68 1.96
NVDS GraniteShares -2× NVIDIA $20.90 -25.4% -59.4% 53 -1.52
NVDU Direxion +2× NVIDIA $140.08 +19.0% +76.8% 68 1.95
OILD BMO -3× Solactive MicroSectors Big Oil $39.51 -61.3% -72.5% 61 -2.02
OILU BMO +3× Solactive MicroSectors Big Oil $45.26 +96.5% +115.8% 62 2.16
PILL Direxion +3× Dynamic Pharmaceuticals $11.16 -9.3% +104.8% -49.5% 62 3.34
PLTD Direxion -1× Palantir $7.49 +13.6% -31.0% 52 -0.99
PLTU Direxion +2× Palantir $37.97 -48.4% -22.6% 103 2.01
PSQ ProShares -1× Nasdaq-100 $25.23 -16.5% -28.8% -61.5% 16 -1.01
QID ProShares -2× Nasdaq-100 $13.78 -31.8% -50.4% -88.1% 32 -2.02
QLD ProShares +2× Nasdaq-100 $99.02 +40.6% +82.4% +207.7% 32 1.99
RETL Direxion +3× S&P Retail $7.96 -13.7% +4.3% -81.9% 60 2.98
REW ProShares -2× Technology $11.63 -47.2% -65.9% -93.3% 42 -2.07
ROM ProShares +2× Technology $161.98 +71.8% +142.5% +281.0% 42 2.01
RWM ProShares -1× Russell 2000 $13.84 -15.5% -29.7% -34.8% 19 -1.01
RXD ProShares -2× Health Care $18.87 +4.0% -24.8% -41.3% 30 -2.04
RXL ProShares +2× Health Care $48.61 -6.2% +22.0% +12.3% 30 2.00
SCC ProShares -2× Consumer Discretionary $14.71 +2.6% -20.1% -64.0% 36 -2.03
SDOW ProShares -3× Dow Jones Industrial Avg $25.44 -20.4% -45.6% -80.4% 37 -3.02
SDP ProShares -2× Utilities $23.24 -6.8% -19.1% -64.0% 29 -1.99
SDS ProShares -2× S&P 500 $56.10 -18.1% -37.9% -76.0% 24 -1.98
SH ProShares -1× S&P 500 $32.86 -8.8% -20.8% -47.5% 12 -0.99
SKF ProShares -2× Financials $27.79 +9.3% -8.3% -64.1% 29 -2.01
SMCL GraniteShares +2× Super Micro Computer $124.64 +37.9% -58.8% 157 2.33
SMCX Defiance +2× Super Micro Computer $27.30 +19.7% -62.3% 158 2.32
SMDD ProShares -3× S&P MidCap 400 $8.14 -34.5% -51.9% -84.8% 47 -3.05
SMN ProShares -2× Basic Materials $20.00 -23.8% -30.8% -59.9% 34 -2.08
SOXL Direxion +3× PHLX Semiconductor $230.22 +447.8% +1123.9% +479.3% 103 2.95
SOXS Direxion -3× PHLX Semiconductor $5.85 -90.7% -97.3% -100.0% 103 -3.10
SPDN Direxion -1× S&P 500 $8.68 -8.0% -20.1% -46.1% 12 -0.98
SPXL Direxion +3× S&P 500 $279.15 +26.5% +81.2% +174.2% 35 2.95
SPXS Direxion -3× S&P 500 $26.43 -25.5% -50.8% -89.6% 36 -2.98
SPXU ProShares -3× S&P 500 $36.30 -27.0% -52.1% -90.5% 36 -3.00
SQQQ ProShares -3× Nasdaq-100 $37.76 -44.9% -66.4% -97.2% 48 -3.05
SRS ProShares -2× Real Estate $40.57 -17.8% -15.4% -38.2% 27 -2.00
SRTY ProShares -3× Russell 2000 $24.00 -43.4% -69.0% -87.2% 57 -3.04
SSG ProShares -2× Semiconductors $12.49 -59.2% -80.6% -99.6% 62 -1.43
SSO ProShares +2× S&P 500 $69.47 +19.9% +52.7% +140.1% 24 1.96
SZK ProShares -2× Consumer Staples $23.03 -10.4% -0.9% -26.4% 25 -1.99
TECL Direxion +3× Technology Select Sector $235.87 +100.8% +208.6% +398.9% 63 2.98
TECS Direxion -3× Technology Select Sector $6.84 -60.4% -79.5% -98.9% 63 -3.04
TNA Direxion +3× Russell 2000 $67.64 +48.5% +121.8% -29.2% 57 2.97
TPOR Direxion +3× Dow Jones Transportation Avg $38.38 +27.8% +70.7% -17.4% 59 2.86
TQQQ ProShares +3× Nasdaq-100 $85.22 +61.6% +130.7% +227.8% 48 2.97
TSLL Direxion +2× Tesla $14.87 -22.2% +51.6% 92 1.99
TSLR GraniteShares +1.5× Tesla $25.28 -21.0% +61.9% 93 2.00
TSLS Direxion -1× Tesla $51.99 -89.7% -93.1% 101 -1.01
TSLT GraniteShares +2× Tesla $20.68 -22.6% +54.7% 92 1.99
TSLZ Tuttle -2× Tesla $11.28 -4.9% -74.1% 92 -2.02
TWM ProShares -2× Russell 2000 $22.32 -30.3% -52.4% -67.3% 38 -2.03
TZA Direxion -3× Russell 2000 $4.38 -41.7% -67.1% -85.4% 57 -3.01
UCC ProShares +2× Consumer Discretionary $48.34 -7.4% +8.9% +1.1% 36 2.01
UDOW ProShares +3× Dow Jones Industrial Avg $68.00 +17.4% +59.4% +81.5% 36 2.94
UGE ProShares +2× Consumer Staples $18.23 +9.0% -4.6% -18.8% 25 1.94
UMDD ProShares +3× S&P MidCap 400 $35.46 +38.7% +66.3% +10.3% 47 3.02
UPRO ProShares +3× S&P 500 $149.33 +29.0% +81.3% +176.0% 35 2.94
UPW ProShares +2× Utilities $22.39 +3.1% +12.8% +45.1% 29 2.01
URE ProShares +2× Real Estate $69.69 +18.4% +9.5% -21.8% 27 2.01
URTY ProShares +3× Russell 2000 $81.20 +52.7% +127.5% -28.6% 57 2.98
USD ProShares +2× Semiconductors $106.64 +103.1% +248.9% +1216.1% 61 1.39
UTSL Direxion +3× Utilities Select Sector $40.77 +0.6% +7.8% +35.4% 43 3.03
UWM ProShares +2× Russell 2000 $63.77 +35.6% +81.3% +8.6% 38 1.98
UYG ProShares +2× Financials $80.87 -11.9% -9.9% +23.5% 31 2.00
UYM ProShares +2× Basic Materials $30.71 +25.2% +29.1% +12.7% 34 2.04
WDRW Direxion -3× S&P Regional Banks $40.76 +0.0% +59.2% 127 -2.09
WEBL Direxion +3× Dow Jones Internet $27.42 +0.2% +2.9% -62.4% 57 3.02
WEBS Direxion -3× Dow Jones Internet $17.08 -15.4% -28.5% -91.0% 58 -3.06
YANG Direxion -3× FTSE China 50 $30.23 +20.2% -7.5% -88.5% 59 -2.95
YINN Direxion +3× FTSE China 50 $29.96 -29.7% -24.5% -92.1% 59 2.96