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MYY vs INDZ

Comparison between PROSHARES SHORT MIDCAP400 (MYY, ETF) and VANECK INDIA SELECT ETF (INDZ, ETF).

MYY vs INDZ - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Net Assets
MYY
$2.90M
Winner
INDZ
$3M
Expense Ratio
MYY
0.95%
Winner
INDZ
0.75%
Max Drawdown
MYY
96.51%
Winner
INDZ
15.19%
Sharpe Ratio
MYY
-1.04
Winner
INDZ
-0.18
5Y Beta
Winner
MYY
-0.98
INDZ
1.07

MYY vs INDZ - Historical Returns

Returns include dividend reinvestment.

1M
Winner
MYY
+0.36%
INDZ
-3.65%
3M
MYY
-3.07%
Winner
INDZ
-0.39%
6M
MYY
-6.52%
Winner
INDZ
-1.23%
1Y
MYY
-12.11%
INDZ
N/A
5Y(CAGR)
MYY
-6.18%
INDZ
N/A
10Y(CAGR)
MYY
-10.77%
INDZ
N/A
Max(CAGR)
MYY
-11.62%
Winner
INDZ
-2.89%

MYY vs INDZ - Annual Returns (2006 - 2026)

Returns include dividend reinvestment.

YearMYYINDZ
2026-10.06%-1.23%
2025-4.37%N/A
2024-7.53%N/A
2023-9.90%N/A
2022+10.38%N/A
2021-24.40%N/A
2020-25.95%N/A
2019-20.22%N/A
2018+13.61%N/A
2017-14.11%N/A
2016-20.44%N/A
2015-0.85%N/A
2014-12.35%N/A
2013-25.09%N/A
2012-16.94%N/A
2011-5.74%N/A
2010-24.00%N/A
2009-33.39%N/A
2008+31.84%N/A
2007-1.08%N/A
2006-4.63%N/A

MYY vs INDZ Drawdown Comparison

The maximum drawdown for MYY was -95.21%, occurring on Jun 30, 2026. This drawdown has not yet recovered.

The maximum drawdown for INDZ was -15.19%, occurring on Mar 30, 2026. Recovery took 36 trading sessions.

The current MYY drawdown is -95.08%. The current INDZ drawdown is -4.94%.

RankMYYINDZ
#1-95.21%
Nov 20, 2008 - Jun 30, 2026
-15.19%
Feb 25, 2026 - Apr 17, 2026
#2-18.55%
Oct 27, 2008 - Nov 19, 2008
-5.69%
Apr 17, 2026 - Jun 22, 2026
#3-18.40%
Jul 21, 2006 - Jan 17, 2008
-4.94%
Jul 6, 2026 - Jul 23, 2026
#4-17.20%
Mar 10, 2008 - Sep 29, 2008
-1.71%
Jun 22, 2026 - Jul 6, 2026
#5-9.01%
Oct 9, 2008 - Oct 22, 2008
-1.24%
Feb 20, 2026 - Feb 25, 2026
#6-8.92%
Jan 22, 2008 - Mar 10, 2008
N/A
#7-4.29%
Jun 22, 2006 - Jul 13, 2006
N/A
#8-3.26%
Sep 29, 2008 - Oct 2, 2008
N/A
#9-2.44%
Jul 18, 2006 - Jul 21, 2006
N/A

Correlation

Correlation between MYY and INDZ is -0.87 which considered as a strong negative correlation - the stocks tend to move in opposite directions.

-0.87
-101

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