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S&P 500 VIX Sep '17 (VIU17)

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Commodity Profile

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Contract
CBOE Volatilty Index VIX Futures
Contract Size
$1000 times Index
Margin/Maintenance
$9,900/9,000
Tick Size
0.05 points ($50.00 per contract)
Exchange
CFE
Point Value
$1,000
First Notice Date
09/15/17
Expiration Date
09/20/17 (expired)
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Price Performance

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Period Period Low Period High Performance
1-Month
10.350 +0.97%
on 09/19/17
15.070 -30.66%
on 08/21/17
-4.525 (-30.22%)
since 08/18/17
3-Month
10.350 +0.97%
on 09/19/17
15.550 -32.80%
on 08/11/17
-3.425 (-24.68%)
since 06/20/17
52-Week
10.350 +0.97%
on 09/19/17
20.100 -48.01%
on 12/30/16
-9.000 (-46.27%)
since 12/27/16

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Barchart Technical Opinion

The Barchart Technical Opinion rating is a 100% Sell with a Strongest short term outlook on maintaining the current direction.

Longer term, the trend strength is Maximum. Long term indicators fully support a continuation of the trend.

The market is in highly oversold territory. Beware of a trend reversal.

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InsideFutures Commentary

InsideFutures weekly newsletter features a selection of the latest and best commodities commentary appearing on Barchart.com. Delivered every Friday morning to your inbox.

Key Turning Points

2nd Resistance Point 11.083
1st Resistance Point 10.767
Last Price 10.450s
1st Support Level 10.267
2nd Support Level 10.083

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52-Week High 20.100
Fibonacci 61.8% 16.375
Fibonacci 50% 15.225
Fibonacci 38.2% 14.075
Last Price 10.450s
52-Week Low 10.350

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