activemixedsec_filings

UVXY 10-Q report for 2026-03-31

This entry covers the UVXY 10‑Q filing for the quarter ended 2026‑03‑31. The available excerpt is the SEC cover/header page only and does not include financial statements, MD&A, risk-factor updates, portfolio holdings, or other operational detail. Use this as confirmation that the fund filed a quarterly report; do not treat the excerpt as providing new fundamentals. The recommended strategy is mixed: treat UVXY as a structural short‑volatility carry vehicle to avoid or short if your view is that realized volatility will mean‑revert, but recognize large tail‑risk exposure in volatility spikes.

Confidence
42 / 100
Assets
2
Authors
1
Outcome
open

Linked assets

Primary ticker: UVXY (ProShares Ultra VIX Short-Term Futures ETF). Conceptual counterpart referenced: SVXY (ProShares Short VIX Short-Term Futures ETF) as the opposite exposure. This play is instrument-structure driven rather than based on new disclosures in the filing excerpt.

UVXYsellopen

UVXY — ProShares Ultra VIX Short‑Term Futures ETF (leveraged long exposure to short‑term VIX futures).

Confidence: 46 / 100Start: $36.10Latest: $28.73Return: 20.42%

Direction is based on instrument structure (leveraged long exposure to short‑term VIX futures tends to produce negative carry in normal, mean‑reverting volatility regimes). The 10‑Q excerpt provided is only the cover page and supplies no new operational or portfolio information. Tail risk is high: large volatility spikes can produce rapid, large losses for holders or those shorting without adequate hedging.

SVXYbeneficiaryopen

SVXY — ProShares Short VIX Short‑Term Futures ETF (inverse exposure to short‑term VIX futures).

Confidence: 28 / 100Start: $51.21Latest: $54.90Return: 7.21%

Included as the conceptual inverse exposure: SVXY benefits when volatility is calm and mean‑reverts. The confidence in a regime shift or sustained outcome is low because the filing excerpt contains no evidence of changing market structure or new fund disclosures; treat SVXY as a low‑confidence opposite exposure to UVXY.

Source proof

Source proof: Strong source proof | 2 extracted claims | 2 directional assets | 1 supporting author | headline-like title review

The provided source is only the Form 10‑Q cover/header for the period ended 2026‑03‑31; it contains filing metadata (issuer, ticker, exchange, filing date) but no substantive financial or operational disclosures. Consequently, the excerpt confirms the existence and filing of the 10‑Q but is not actionable by itself beyond that confirmation.

SNBR 10-Q report for 2026-04-04
Sleep Number Corp · May 12, 2026, 3:06 AM EDT

This excerpt is only the cover page/header of Sleep Number’s Form 10‑Q for the quarter ended April 4, 2026. It contains filing metadata (issuer, ticker, exchange, address) but no financial statements, MD&A, guidance, risks, or operational commentary. As a result, it is not directly actionable for trading beyond confirming the filing exists.

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SOUN 10-Q report for 2026-03-31
SOUNDHOUND AI, INC. · May 11, 2026, 5:28 PM EDT

The provided excerpt is only the cover/filing header of SoundHound AI, Inc.’s 10‑Q for the quarter ended 2026‑03‑31. It contains listing/security identifiers (SOUN, SOUNW) but no financial statements, MD&A, guidance, risk updates, liquidity details, or material events. As a result, there is insufficient information to form high‑confidence, actionable bullish/bearish theses beyond generic “company filed its 10‑Q” metadata.

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WEAT 10-Q report for 2026-03-31
Teucrium Commodity Trust · May 11, 2026, 5:19 PM EDT

The provided excerpt is only the boilerplate cover/filing-status section of Teucrium Commodity Trust’s Form 10‑Q for period ended 2026‑03‑31, with no portfolio holdings, performance, risk, or material updates included. As‑is, it contains no actionable investment information beyond confirming the existence of the filing and the issuer/ticker identity (WEAT).

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ACHR 10-Q report for 2026-03-31
Archer Aviation Inc. · May 11, 2026, 5:01 PM EDT

This excerpt is the cover page of Archer Aviation’s Form 10‑Q for the quarter ended 2026‑03‑31 (issuer identity, exchange listing, and securities outstanding). It contains no operating/financial results, guidance, liquidity details, backlog, or risk‑factor updates—so it is minimally actionable for trading beyond basic security identifiers and a generic dilution/optionality consideration from warrants.

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CLSK 10-Q report for 2026-03-31
CLEANSPARK, INC. · May 11, 2026, 4:58 PM EDT

This excerpt is essentially the cover page of CleanSpark, Inc.’s Form 10‑Q for the quarter ended March 31, 2026. It contains identifiers (CIK/file no.), listing venue, and security descriptions (common stock and redeemable warrants with specific exercise terms), but no operating/financial results, guidance, risks, or MD&A detail. Actionability is therefore limited to capital‑structure/dilution considerations around the listed warrant.

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ASTS 10-Q report for 2026-03-31
AST SpaceMobile, Inc. · May 11, 2026, 4:40 PM EDT

This excerpt of AST SpaceMobile’s 10‑Q is largely SEC cover‑page/boilerplate (registrant info, exchange listing, filing compliance) and contains no financial results, guidance, liquidity, risk‑factor updates, or operating metrics. As provided, it does not create a clear tradable catalyst beyond confirming continued reporting/listing status.

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SMCI 10-Q report for 2026-03-31
Super Micro Computer, Inc. · May 11, 2026, 4:38 PM EDT

The provided text is only the cover page of Super Micro Computer, Inc.’s Form 10‑Q for the quarter ended March 31, 2026. It confirms the filing, issuer identity, listing (Nasdaq), and ticker (SMCI), but contains no financial results, guidance, risks, or MD&A content to support a directional investment view.

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ABCL 10-Q report for 2026-03-31
AbCellera Biologics Inc. · May 11, 2026, 4:18 PM EDT

The provided excerpt is only the cover/header portion of AbCellera Biologics Inc.’s Form 10‑Q for the quarter ended March 31, 2026 (identifying info, exchange listing, filing status). It contains no financial statements, guidance, risk updates, material events, MD&A, cash runway, pipeline/program updates, or disclosures that would support a differentiated trading view.

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Supporting authors

Analysis derived from document metadata and instrument structure. No additional authors contributed proprietary financial or company-specific analysis beyond assessing the limited excerpt content.

Unlock full thesis monitoring

If you trade volatility ETPs, treat this filing as a routine compliance item. For position decisions, rely on market-data signals (realized vs. implied volatility, term‑structure of VIX futures, liquidity) and event-risk monitoring rather than this excerpt. Consider hedging tail risk if holding or shorting UVXY exposure.