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93 Stock and 7 ETF VSTL (DEFIANCE DAILY TARGET 2X LONG VST ETF) alternatives

The most close VSTL (DEFIANCE DAILY TARGET 2X LONG VST ETF) alternative is company U.S. Xpress Enterprises (USX). The correlation is 1.

Stocks that highly correlated with VSTL

SymbolName
Market cap
SectorIndustry
Correlation
USXU.S. Xpress Enterprises Inc - Class A$332MIndustrialsTrucking1.00
HMSTHomeStreet Inc$262MN/AN/A1.00
BLDEBlade Air Mobility Inc - Class A$385MN/AN/A1.00
GSRMBitcoin Depot Inc - Class A$54MN/AN/A1.00
GNTYGuaranty Bancshares Inc (TX)$557MN/AN/A1.00
SMTKSmartKem, Inc. Common Stock$4.23MTechnologySemiconductor Equipment & Materials0.99
OPOFOld Point Financial Corp$215MFinancial ServicesBanks - Regional0.99
CNFRZConifer Holdings Inc$226MN/AN/A0.97
IPGInterpublic Group Of Cos. Inc$9.04BCommunication ServicesAdvertising Agencies0.95
BRFSBRF - Brasil Foods S.A.$5.44BConsumer DefensivePackaged Foods0.93
VSTVistra Corp$54BUtilitiesUtilities - Independent Power Producers0.92
DRH-P-ADiamondrock Hospitality Company$5.11BN/AN/A0.92
PPBIPacific Premier Bancorp Inc$2.33BFinancial ServicesBanks - Regional0.91
EMXEMX Royalty Corporation$455MBasic MaterialsOther Industrial Metals & Mining0.90
IROHRCN Healthy Food Tech Group Corp$35MN/AN/A0.89
MIMIMint Inc Ltd - Class A$4.72MIndustrialsEngineering & Construction0.84
SKXSkechers U S A Inc - Class A$9.55BConsumer CyclicalFootwear & Accessories0.84
BLMZHarrison Global Holdings Inc$172KCommunication ServicesEntertainment0.84
VSAVisionSys AI Inc$511KConsumer DefensiveEducation & Training Services0.84
AGM-P-DFederal Agricultural Mortgage Corp$230MN/AN/A0.83
VSMEVs Media Holdings Ltd - Class A$3.77MCommunication ServicesAdvertising Agencies0.82
LIFLife360 Inc$4.48BTechnologySoftware - Application0.81
AVDXAvidXchange Holdings Inc$2.07BTechnologySoftware - Infrastructure0.81
ENGSEnergys Group Ltd$12MIndustrialsWaste Management0.81
CCTGCCSC Technology International Holdings Ltd - Class A$1.03MIndustrialsElectrical Equipment & Parts0.80
YSGYatsen Holding Ltd$342MConsumer DefensiveHousehold & Personal Products0.80
ANETArista Networks Inc$216BTechnologyComputer Hardware0.79
KUKEKuke Music Holding Limited American Depositary Shares (each representing ten (10) Class A Ordinary Shares)$5.93MCommunication ServicesEntertainment0.79
DTSSDatasea Inc$9.36MTechnologySoftware - Infrastructure0.79
SCPHscPharmaceuticals Inc$305MHealthcareBiotechnology0.79
GESGuess, Inc.$877MConsumer CyclicalApparel Retail0.79
PRKSSeaWorld Entertainment Inc$2.34BConsumer CyclicalLeisure0.78
MPAAMotorcar Parts of America Inc$271MConsumer CyclicalAuto Parts0.78
JJacobs Solutions Inc$15BIndustrialsEngineering & Construction0.78
PSA-P-SPublic Storage.N/AN/AOther0.78
KRROKorro Bio Inc$188MHealthcareBiotechnology0.78
AGM-P-GFederal Agricultural Mortgage Corp$191MN/AN/A0.78
FORDForward Industries Inc$10MConsumer CyclicalFootwear & Accessories0.77
FTEKFuel Tech Inc$49MIndustrialsPollution & Treatment Controls0.77
RBLXRoblox Corporation - Class A$41BCommunication ServicesElectronic Gaming & Multimedia0.77
HONEHarborOne Bancorp Inc$521MFinancial ServicesBanks - Regional0.77
FSPFranklin Street Properties Corp$50MReal EstateReit - Office0.77
FGENFibroGen Inc$39MHealthcareBiotechnology0.77
PSA-P-RPublic Storage.$2.69BN/AN/A0.76
KTBKontoor Brands Inc$4.64BConsumer CyclicalApparel Manufacturing0.76
SWIMLatham Group Inc$690MIndustrialsBuilding Products & Equipment0.75
FRT-P-CFederal Realty Investment Trust.$1.76BN/AOther0.75
SNV-P-ESynovus Financial Corp$3.59BN/AOther0.75
JBIJanus International Group Inc - Class A$744MIndustrialsBuilding Products & Equipment0.75
RDIReading International Inc - Class A$30MCommunication ServicesEntertainment0.75
BSBKBogota Financial Corp$117MFinancial ServicesBanks - Regional0.75
ATAIATAI Life Sciences N.V.$1.96BHealthcareBiotechnology0.75
SMASmartstop Self Storage REIT Inc$1.83BReal EstateReit - Industrial0.75
ATMVUAMC Robotics Corp - Units (1 Ord & 1 Right)$261MFinancial ServicesShell Companies0.75
EHGOEshallgo Inc - Class A$3.67MIndustrialsBusiness Equipment & Supplies0.75
ARCTArcturus Therapeutics Holdings Inc$182MHealthcareBiotechnology0.74
CNTYCentury Casinos Inc$35MConsumer CyclicalResorts & Casinos0.74
PRSUPursuit Attractions and Hospitality Inc$1.43BConsumer CyclicalTravel Services0.74
SEGSeaport Entertainment Group Inc$339MReal EstateReal Estate Services0.74
FMFCKandal M Venture Ltd - Class A$4.71MConsumer CyclicalFootwear & Accessories0.74
FTPAFTAC Parnassus Acquisition Corp - Class A$302MFinancial ServicesShell Companies0.74
ZBHZimmer Biomet Holdings Inc$18BHealthcareMedical Devices0.74
ASBPAspire Biopharma Holdings Inc$9.03MHealthcareBiotechnology0.74
ZKZEEKR Intelligent Technology Holding Limited American Depositary Shares (each representing ten (10) Ordinary Shares)$6.88BConsumer CyclicalAuto Manufacturers0.74
RRGBRed Robin Gourmet Burgers Inc$128MConsumer CyclicalRestaurants0.74
HDSNHudson Technologies Inc$262MBasic MaterialsSpecialty Chemicals0.73
UPWheels Up Experience Inc - Class A$232MIndustrialsAirports & Air Services0.73
EPSMEpsium Enterprise Ltd$15MConsumer DefensiveBeverages - Wineries & Distilleries0.73
HLVXHilleVax Inc$105MHealthcareBiotechnology0.73
AGIOAgios Pharmaceuticals Inc$2.37BHealthcareBiotechnology0.72
AGM-P-FFederal Agricultural Mortgage Corp$205MN/AN/A0.72
WXMWF International Ltd$3.63MIndustrialsIndustrial Distribution0.72
LDWYLendway Inc$9.31MCommunication ServicesAdvertising Agencies0.72
MFImF International Ltd - Class A$439MTechnologySoftware - Application0.72
SR-P-ASpire Inc$1.48BN/AOther0.71
ELFe.l.f. Beauty Inc$4.39BConsumer DefensiveHousehold & Personal Products0.71
AIMDAinos Inc$12MTechnologyScientific & Technical Instruments0.71
RECTRectitude Holdings Ltd$18MConsumer CyclicalSpecialty Retail0.71
DYCQDT Cloud Acquisition Corp$23MFinancial ServicesShell Companies0.71
AUNAAuna S.A. - Cls A$369MHealthcareMedical Care Facilities0.71
CMNDClearmind Medicine Inc$2.12MHealthcareBiotechnology0.71
GBIOGeneration Bio Company$36MHealthcareBiotechnology0.70
GPGreenPower Motor Company Inc$7.83MIndustrialsFarm & Heavy Construction Machinery0.70
ZOOZZOOZ Power Ltd$43MConsumer CyclicalSpecialty Retail0.70
PRHIPresurance Holdings Inc$21MFinancial ServicesInsurance - Property & Casualty0.70
CMS-P-CCMS Energy Corporation$5.18BN/AN/A0.70
MRPMillrose Properties Inc Class A$4.77BReal EstateReit - Residential0.70
UTMDUtah Medical Products Inc$224MHealthcareMedical Instruments & Supplies0.70
AREAlexandria Real Estate Equities Inc$8.31BReal EstateReit - Office0.70
KELYAKelly Services Inc - Class A$493MIndustrialsStaffing & Employment Services0.70
NTRBNutriband Inc$37MHealthcareBiotechnology0.70
ETDEthan Allen Interiors Inc$583MConsumer CyclicalFurnishings, Fixtures & Appliances0.70
XRPNArmada Acquisition Corp II - Class A$330MFinancial ServicesShell Companies0.69

ETFs that highly correlated with VSTL

SymbolName
AUM
Expense Ratio
Inception Date
Correlation
FIYYGRANITESHARES YIELDBOOST 20Y+ TREASURIES ETF $732K1.07%May 4, 20260.94
BTFXCoinShares Bitcoin Leverage ETF$12MN/AFeb 21, 20240.83
RBLUT-REX 2X LONG RBLX DAILY TARGET ETF $13MN/AMar 3, 20250.75
WBIFWBI BULLBEAR VALUE 3000 ETF $24M1.65%Aug 25, 20140.74
RCSPIMCO Strategic Income Fund Inc$218MN/AN/A0.72
REFACOLUMBIA RESEARCH ENHANCED INTERNATIONAL EQUITY ETF $5.60M0.32%Dec 11, 20250.72
RBLYYIELDMAX(R) RBLX OPTION INCOME STRATEGY ETF $2.40M0.99%Jul 28, 20250.71