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MYCM vs COTG

Comparison between SPDR SSGA My2033 Corporate Bond ETF (MYCM, ETF) and LEVERAGE SHARES 2X LONG COST DAILY ETF (COTG, ETF).

MYCM vs COTG - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Net Assets
MYCM
$8.60M
COTG
$8.60M
Expense Ratio
MYCM
0.15%
COTG
N/A
Max Drawdown
Winner
MYCM
5.79%
COTG
32.16%
Sharpe Ratio
Winner
MYCM
0.12
COTG
-0.40
5Y Beta
MYCM
0.11
Winner
COTG
-0.28

MYCM vs COTG - Historical Returns

Returns include dividend reinvestment.

1M
Winner
MYCM
-0.48%
COTG
-6.03%
3M
Winner
MYCM
-0.80%
COTG
-17.77%
6M
Winner
MYCM
-0.18%
COTG
-16.68%
1Y
Winner
MYCM
+3.94%
COTG
-16.05%
Max(CAGR)
Winner
MYCM
+3.09%
COTG
-18.85%

MYCM vs COTG - Annual Returns (2024 - 2026)

Returns include dividend reinvestment.

YearMYCMCOTG
2026-0.04%+9.36%
2025+9.19%-21.71%
2024-3.14%N/A

MYCM vs COTG Drawdown Comparison

The maximum drawdown for MYCM was -4.57%, occurring on Jan 13, 2025. Recovery took 173 trading sessions.

The maximum drawdown for COTG was -32.16%, occurring on Jul 9, 2026. This drawdown has not yet recovered.

The current MYCM drawdown is -1.67%. The current COTG drawdown is -30.07%.

RankMYCMCOTG
#1-4.57%
Sep 24, 2024 - Jun 4, 2025
-32.16%
May 19, 2026 - Jul 9, 2026
#2-2.74%
Feb 27, 2026 - Mar 27, 2026
-23.44%
Sep 18, 2025 - Jan 21, 2026
#3-1.22%
Oct 27, 2025 - Nov 26, 2025
-11.17%
Feb 13, 2026 - Apr 8, 2026
#4-1.18%
Jul 1, 2025 - Jul 29, 2025
-11.15%
Apr 9, 2026 - May 14, 2026
#5-0.78%
Sep 16, 2025 - Oct 14, 2025
-9.18%
Jan 23, 2026 - Feb 5, 2026
#6-0.77%
Jun 4, 2025 - Jun 12, 2025
-5.88%
Feb 6, 2026 - Feb 13, 2026
#7-0.74%
Jan 14, 2026 - Feb 5, 2026
-1.40%
Jan 21, 2026 - Jan 23, 2026
#8-0.67%
Nov 26, 2025 - Dec 29, 2025
N/A
#9-0.52%
Aug 13, 2025 - Aug 22, 2025
N/A
#10-0.45%
Jun 12, 2025 - Jun 20, 2025
N/A
#11-0.37%
Aug 28, 2025 - Sep 4, 2025
N/A
#12-0.37%
Dec 29, 2025 - Jan 14, 2026
N/A
#13-0.34%
Aug 4, 2025 - Aug 13, 2025
N/A
#14-0.20%
Aug 22, 2025 - Aug 27, 2025
N/A
#15-0.17%
Jul 29, 2025 - Aug 1, 2025
N/A

Correlation

Correlation between MYCM and COTG is 0.28 which considered as a very weak or no correlation - the stocks move independently of each other.

0.28
-101

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