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Data from 12/31/2018 to 2/15/2019
CURRENT OUTCOME PERIOD VALUES AS OF 2/15/2019
Current
Price / Return
The current bid/ask midpoint of the Fund and the return of the Fund, after fees and expenses*, since the start of the Outcome Period.
SPX
Return
The return since the start of the Outcome Period.

Remaining
Cap
The current maximum potential return available at the ETF's current price, before remaining fees and expenses*, if held to the end of the current Outcome Period.
Remaining
Buffer
The starting buffer (9.00%) less the realized buffer (Fund return of 8.73% minus the SPX return of 10.72%), before fees and expenses*, if held to the end of the Outcome Period
Downside
Before Buffer
The amount of Fund loss incurred before the buffer begins.
Remaining
Outcome Period
The amount of days remaining until the last day of the Outcome Period.
$27.27 / 8.73% 10.72% 13.57% 10.99% -8.73% 319 days
OUTCOME PERIOD VALUES AS OF 12/31/2018
Starting
Price / Return
The starting NAV and return of the Fund at the start of the Outcome Period.
SPX
Return
The starting index return at the start of the Outcome Period.
Cap
The starting maximum potential return, before fees and expenses*, if held to the end of the current Outcome Period.
Buffer
The starting amount of downside protection, before fees and expenses, if held to the end of the Outcome Period.
Downside
Before Buffer
The amount of Fund loss incurred before the buffer begins.
Outcome Period
The intended length of time over which the defined outcomes are sought.
$25.08 / 0.00% 0.00% 22.30% 9.00% 0.00% 365 days