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SPCM vs QIG

Comparison between Tradr 2X Long SpaceX Daily ETF (SPCM, ETF) and WISDOMTREE U.S. CORPORATE BOND FUND (QIG, ETF).

SPCM vs QIG - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Net Assets
SPCM
$18M
QIG
$18M
Expense Ratio
SPCM
N/A
QIG
0.18%
Max Drawdown
SPCM
67.62%
Winner
QIG
27.35%
Sharpe Ratio
SPCM
-5.72
Winner
QIG
-0.03
5Y Beta
SPCM
4.86
Winner
QIG
0.10
5Y Dividends CAGR
SPCM
N/A
QIG
10.77%

SPCM vs QIG - Historical Returns

Returns include dividend reinvestment.

1M
SPCM
-38.80%
Winner
QIG
-0.86%
3M
SPCM
N/A
QIG
-0.77%
6M
SPCM
N/A
QIG
-0.44%
1Y
SPCM
N/A
QIG
+3.36%
5Y(CAGR)
SPCM
N/A
QIG
-0.20%
10Y(CAGR)
SPCM
N/A
QIG
+2.23%
Max(CAGR)
SPCM
-100.00%
Winner
QIG
+2.35%

SPCM vs QIG - Annual Returns (2016 - 2026)

Returns include dividend reinvestment.

YearSPCMQIG
2026-62.37%-0.16%
2025N/A+7.83%
2024N/A+2.83%
2023N/A+7.88%
2022N/A-15.49%
2021N/A-0.94%
2020N/A+9.58%
2019N/A+13.66%
2018N/A-1.31%
2017N/A+7.08%
2016N/A-1.80%

SPCM vs QIG Drawdown Comparison

The maximum drawdown for SPCM was -67.62%, occurring on Jul 20, 2026. This drawdown has not yet recovered.

The maximum drawdown for QIG was -22.92%, occurring on Oct 20, 2022. This drawdown has not yet recovered.

The current SPCM drawdown is -65.79%. The current QIG drawdown is -2.04%.

RankSPCMQIG
#1-67.62%
Jun 16, 2026 - Jul 20, 2026
-22.92%
Aug 4, 2021 - Oct 20, 2022
#2N/A-20.24%
Mar 6, 2020 - Jun 15, 2020
#3N/A-7.13%
Nov 30, 2020 - Jul 27, 2021
#4N/A-4.54%
Aug 26, 2016 - Jun 26, 2017
#5N/A-4.15%
Dec 27, 2017 - Jan 31, 2019
#6N/A-2.87%
Aug 6, 2020 - Nov 19, 2020
#7N/A-2.56%
Sep 4, 2019 - Nov 25, 2019
#8N/A-1.65%
Aug 2, 2017 - Oct 13, 2017
#9N/A-1.38%
May 3, 2016 - Jun 13, 2016
#10N/A-1.19%
Jun 26, 2017 - Jul 28, 2017
#11N/A-1.18%
Jul 3, 2019 - Aug 1, 2019
#12N/A-0.89%
Oct 13, 2017 - Dec 19, 2017
#13N/A-0.75%
Feb 24, 2020 - Feb 28, 2020
#14N/A-0.56%
Jul 27, 2016 - Aug 26, 2016
#15N/A-0.56%
Jun 13, 2016 - Jun 24, 2016

Correlation

Correlation between SPCM and QIG is 1.00 which considered as a very strong positive correlation - the stocks move almost identically together.

1.00
-101

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