United States Natural Gas Fund LP (UNG.US) 納斯達克 (美元) ETF 升跌 成交量 買價(延遲) 前收市價/開市 / 升跌(%) 資產總值 9.13億 賣價(延遲) 波幅 收益率 N/A 淨開支比率 1.11% 每股淨值 (美元) 15.685 每股淨值更新日期 2024/12/27 量比 /委比(延遲) 交易所 AMEX 振幅 ...
Natural Gas ETF with Best 1-Year Return and Lowest Fees: United States 12 Month Natural Gas Fund LP Performance Over One Year: -51.3% Expense Ratio: 0.90% Annual Dividend Yield: N/A Three-Month Average Daily Volume: 19,366 Assets Under Management: $16.3 million Inception Date: Nov. 18, ...
United States Natural Gas Fund LP (UNG) Real-time ETF Quotes - Nasdaq offers real-time quotes & market activity data for US and global markets.
a huge problem in the natural gas ETF market. It has amassed just $19.4 million in its asset base and sees a light volume of less than 9,000 shares. It charges 75 bps in fees per
natural gas fund in the financial services industry. It primarily focuses on the operational issues faced by UNG on the decision to trade like a close-end fund in the commodity stock market. It accounts the factors that led UNG to perform worse th...
UNG | A complete United States Natural Gas Fund L.P. exchange traded fund overview by MarketWatch. View the latest ETF prices and news for better ETF investing.
Natural Gas ETF FT(FCG) 23.89-0.19(-0.79%)12/17/24[NYSE Arca] Bull Call Option Spreadsfor Tue, Dec 17th, 2024 Notes Alerts Watch Help ABarchart Premiermembership lets you screen on these options using advanced filters, including strategies for Covered Calls, Naked Puts and Option Spreads. ...
2.4% hennessy gas utility fund ( gasfx ) 2.2% first trust natural gas etf ( fcg ) 2.8% antero resources corp. ( ar ) 0.0% cheniere energy inc. ( lng ) the houston-based energy company owns and operates two natural gas liquefaction and export facilities. it has a total production ...
UBS BDG CMCI Natural Gas USD 80.58 +0.61(+0.76%) 开盘最高最低收盘量 昨收 80.58 开盘 80.58 量 0 平均成交量 (3个月) 8 1年涨跌幅 0% 当日幅度 80.58-80.58 52 周范围 0-0 市值 - 总资产 - 流通股份 - 投资回报率(连续12个月)
First Trust Natural Gas ETF options data by MarketWatch. View FCG option chain data and pricing information for given maturity periods.