Rydex Biotechnology Fund

Monthly Returns (%)
Years Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Annual
1998 0 0 0 -2.5 -4.62 -2.26 1.43 -21.37 24.41 6.98 3.01 19.01 0
1999 7.27 -6.54 8.01 -5.7 7.78 5.22 14.16 9.65 -7.52 2.08 10.7 29.53 96.2
2000 17.06 45.3 -26.68 -14.13 -3.71 34.21 -8.58 23.11 -3.69 -5.7 -14.04 5.79 28.6
2001 -5.44 -5.47 -18.66 14.4 5.89 2.71 -11.35 1.05 -13.5 14.99 9.12 -5.42 -16.8
2002 -14.45 -4.91 3.47 -15.68 -10.4 -11.99 1.23 -4.2 -4.16 9 7.47 -10.66 -45.6
2003 -2.22 -1.59 5.93 10.62 17.88 -2.68 9.28 -1.63 -0.05 0.11 1.12 4.06 46.4
2004 5.06 0.53 -1.1 0.82 -2.6 -0.35 -10.05 0.5 4.71 -3.87 3.97 5.34 1.9
2005 -5.22 -3.78 -4.14 2.16 4.51 1.17 9.84 3.26 0.42 -2.26 4.87 1.35 11.7
2006 2.98 4.54 -3.1 -5.54 -4.79 0.33 -1.04 1.77 -0.05 8.54 -1.43 -4.39 -3.1
2007 3.58 -4.92 -1.16 7.5 -0.39 -4.31 -0.74 4.82 5.84 4.18 -2.89 -4.87 5.7
2008 -3.47 -3.82 0.61 1.21 3.54 -2.26 19.02 -4.69 -6.52 -11.69 -9.4 10.22 -10.6
2009 -0.83 -10.23 5.62 1.14 3.83 8.26 12.85 0.04 1.05 -11.9 7.23 4.85 20.8
2010 2.69 1.6 6.16 -2.1 -12.71 -3.4 7.03 -3.37 10.24 2.16 -2.83 5.71 9.4
2011 -1.43 1.27 7.32 10.01 2.31 -2.8 -2.51 -8.84 -3.21 8.71 -0.6 2.26 11.4
2012 14.68 0.37 5.73 1.27 -1.23 6.45 3.08 1.75 4.15 -7.46 5.94 -1.62 36.5
2013 7.8 1.79 7.79 6.62 3.14 -4.12 13.89 -1.82 7.67 -3.76 6.62 0.39 54.7
2014 11.76 8.05 -11.45 -5.62 3.67 8.43 -1.79 10.98 -3.31 9.04 2.48 -0.02 33.6
2015 6.07 5.67 1.64 -4.18 11.28 0.96 3.77 -11.53 -12.2 6.24 4.1 -0.46 8.8
2016 -21.53 -4.24 3.13 3.57 4.61 -6.8 12.37 -3.29 4.2 -12.27 7.6 -3.78 -19.5
2017 6.08 6.94 -0.94 2.6 -3.85 9.21 2.22 4.75 1.27 -3.3 1.17 0.98 29.7
2018 8.07 -4.01 -3.7 -3.04 5.88 1.24 3.18 5.24 -0.71 -14.32 4.76 -9.37 -8.9
2019 14.23 3.82 -0.11 -5.58 -6.06 8.62 -3.4 -3.79 -1.53 6.79 12.27 -4.27 19.9
2020 -7.39 -0.04 -7.78 15.98 8.98 1.49 0.3 -0.3 -6.35 -2.64 10.53 2.99 13.7
2021 -12.14 -2.16 14.52 4.33 -3.4 9.21 -1.55 3.76 -5.22 0.25 -4.43 -15.27 -14.8
2022 -10.49 -3.08 3.88 -9.95 -0.33 0 5.24 -3.63 -3.52 7.83 6.41 -5.48 -14.2
2023 2.26 -4.48 0.13 1.79 -2.56 0.93 0.94 -0.46 -4.3 -6.1 6.19 12.98 6.1
2024 -1.3 2.19 -0.07 -7.38 -12.9