Outcome Radar - July 2, 2026
Today's analysis: 49 near entry, 0 near acceleration, 22 near cap. Total 76 signals.
5 of 52 annual-cycle funds are in Target/Extended Range, with the freshest showing a 9.21% modeled remaining buffer and 363 days to reset. 4 funds are Near Cap, with remaining cap compressed toward zero across their respective payoff curves. The other 43 are mid-period, spread across SPY, QQQ, IVV, EEM, and RSP underlyings.
For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Target Range |
BJUNSPY9% Buffer Annual |
Innovator™ | ~18.2% | ~7.6% | 333 | 0.0% | ~20.0% | ~15% | |
| Target Range |
JUNTSPY10% Buffer Annual |
AllianzIM™ | ~17.4% | ~8.4% | 333 | ~-0.2% | ~19.1% | ~16% | |
| Target Range |
BJULSPY9% Buffer Annual |
Innovator™ | ~17.8% | ~8.3% | 363 | ~-0.4% | ~17.9% | ~18% | |
| Extended Range |
JULTSPY10% Buffer Annual |
AllianzIM™ | ~16.8% | ~9.2% | 363 | ~-0.6% | ~16.8% | ~19% | |
| Extended Range |
FJUNSPY10% Buffer Annual |
First Trust™ | ~15.6% | ~8.9% | 350 | ~-0.8% | ~16.3% | ~20% |
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | FJULSPY10% Buffer Annual |
First Trust™ | ~0.3% | ~11.6% | 15 | ~-12.6% | ~7.8% | ~85% | |
| Near Cap | AUGTSPY10% Buffer Annual |
AllianzIM™ | ~1.3% | ~11.3% | 29 | ~-12.3% | ~15.9% | ~70% | |
| Near Cap | BAUGSPY9% Buffer Annual |
Innovator™ | ~1.1% | ~9.9% | 29 | ~-12.8% | ~14.2% | ~67% | |
| Near Cap | TENJIVV10% Buffer Annual |
iShares™ | ~0.8% | ~9.0% | 111 | ~-9.9% | ~2.7% | ~49% |
Annual
Annual
Annual
Annual
14 of 88 annual-cycle funds are in Target/Extended Range, and 8 are Near Cap with remaining cap compressed toward zero; the other 66 are mid-period. The freshest Target/Extended Range fund carries a 14.22% modeled remaining buffer with 323 days to reset on a QQQ reference asset. Underlying exposure spans SPY, EFA, IWM, QQQ, and EEM across the 88-fund tab.
For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Target Range |
KJULIWM15% Buffer Annual |
Innovator™ | ~19.2% | ~13.8% | 363 | ~-0.4% | ~19.3% | ~15% | |
| Target Range |
PJUNSPY15% Buffer Annual |
Innovator™ | ~13.5% | ~13.3% | 333 | ~-0.3% | ~14.8% | ~21% | |
| Extended Range |
NJUNQQQ15% Buffer Annual |
Innovator™ | ~19.9% | ~13.1% | 333 | 0.0% | ~21.8% | ~12% | |
| Extended Range |
NJULQQQ15% Buffer Annual |
Innovator™ | ~21.2% | ~13.1% | 363 | 0.0% | ~21.4% | ~12% | |
| Extended Range |
QMMYQQQ15% Buffer Annual |
First Trust™ | ~16.4% | ~14.2% | 323 | ~-1.2% | ~18.6% | ~19% | |
| Extended Range |
IMAREFA15% Buffer Annual |
Innovator™ | ~12.2% | ~12.6% | 241 | ~-1.6% | ~18.5% | ~19% | |
| Extended Range |
IJULEFA15% Buffer Annual |
Innovator™ | ~15.4% | ~14.0% | 363 | ~-1.4% | ~15.5% | ~21% | |
| Extended Range |
IJUNEFA15% Buffer Annual |
Innovator™ | ~14.1% | ~13.1% | 333 | ~-1.6% | ~15.4% | ~20% | |
| Extended Range |
YJUNEFA15% Buffer Annual |
First Trust™ | ~13.8% | ~14.2% | 350 | ~-0.8% | ~14.4% | ~23% | |
| Extended Range |
PJULSPY15% Buffer Annual |
Innovator™ | ~13.4% | ~14.2% | 363 | ~-0.6% | ~13.5% | ~24% | |
| Extended Range |
GMAYSPY15% Buffer Annual |
First Trust™ | ~11.9% | ~13.8% | 323 | ~-1.8% | ~13.5% | ~25% | |
| Extended Range |
GJUNSPY15% Buffer Annual |
First Trust™ | ~12.6% | ~14.0% | 350 | ~-0.7% | ~13.2% | ~25% | |
| Extended Range |
XJUNSPY15% Buffer Annual |
First Trust™ | ~10.2% | ~14.0% | 350 | ~-0.8% | ~10.7% | ~29% | |
| Extended Range |
XMAYSPY15% Buffer Annual |
First Trust™ | ~9.2% | ~13.9% | 323 | ~-1.7% | ~10.4% | ~30% |
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
Annual
Range
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | KAUGIWM15% Buffer Annual |
Innovator™ | ~0.4% | ~22.8% | 29 | ~-14.6% | ~5.3% | >95% | |
| Near Cap | XJULSPY15% Buffer Annual |
First Trust™ | ~0.1% | ~19.2% | 15 | ~-9.2% | ~3.2% | >95% | |
| Near Cap | SAUGIWM15% Buffer Annual |
First Trust™ | ~0.9% | ~21.3% | 50 | ~-13.9% | ~6.9% | >95% | |
| Near Cap | NAUGQQQ15% Buffer Annual |
Innovator™ | ~0.8% | ~20.3% | 29 | ~-12.3% | ~10.7% | >95% | |
| Near Cap | GJULSPY15% Buffer Annual |
First Trust™ | ~0.2% | ~17.7% | 15 | ~-10.7% | ~5.1% | ~94% | |
| Near Cap | KSEPIWM15% Buffer Annual |
Innovator™ | ~1.5% | ~19.2% | 60 | ~-13.6% | ~9.0% | ~88% | |
| Near Cap | PAUGSPY15% Buffer Annual |
Innovator™ | ~0.7% | ~17.4% | 29 | ~-10.5% | ~8.2% | ~83% | |
| Near Cap | XAUGSPY15% Buffer Annual |
First Trust™ | ~0.9% | ~18.1% | 50 | ~-8.4% | ~6.4% | ~80% |
Annual
Annual
Annual
Annual
Annual
Annual
Annual
Annual
5 of 52 funds are in Target/Extended Range and 5 are Near Cap, with the other 42 mid-period across this all-annual-cycle category. The freshest Target/Extended Range fund shows a modeled 99.10% remaining buffer and 350 days remaining, reflecting the deep-protection structure's characteristic trade-off of substantial downside absorption against a tighter cap. The 5 Near-Cap funds are approaching the top of their payoff curves, with remaining cap compressed toward zero and reset approaching. Underlying exposure is concentrated in SPY, with smaller allocations to VOO and QQQ.
For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Target Range |
JUNWSPY20% Buffer Annual |
AllianzIM™ | ~11.7% | ~18.3% | 333 | ~-0.4% | ~12.8% | ~24% | |
| Extended Range |
SQMXSPY50% Buffer Quarterly |
First Trust™ | ~2.7% | ~12.1% | 78 | ~-0.3% | ~12.6% | ~38% | |
| Extended Range |
JULWSPY20% Buffer Annual |
AllianzIM™ | ~11.7% | ~19.3% | 363 | ~-0.5% | ~11.7% | ~27% | |
| Extended Range |
JUNMSPY50% Buffer Annual |
First Trust™ | ~6.4% | ~99.1% | 350 | ~-0.9% | ~6.7% | ~36% | |
| Extended Range |
MAYMSPY50% Buffer Annual |
First Trust™ | ~5.9% | ~98.9% | 323 | ~-1.1% | ~6.7% | ~38% |
Annual
Range
Quarterly
Range
Annual
Range
Annual
Range
Annual
Range
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | QCJLQQQ20% Buffer Annual |
First Trust™ | ~0.2% | ~26.4% | 15 | ~-10.7% | ~6.1% | >95% | |
| Near Cap | JULMSPY50% Buffer Annual |
First Trust™ | ~0.0% | ~65.2% | 15 | ~-6.6% | ~0.2% | >95% | |
| Near Cap | DJULSPY25% Buffer Annual |
First Trust™ | ~0.2% | ~25.8% | 15 | ~-15.2% | ~4.6% | ~94% | |
| Near Cap | AUGWSPY20% Buffer Annual |
AllianzIM™ | ~0.6% | ~22.8% | 29 | ~-9.3% | ~7.9% | ~88% | |
| Near Cap | UAUGSPY30% Ultra Buffer |
Innovator™ | ~0.6% | ~30.3% | 29 | ~-14.5% | ~7.9% | ~85% |
Annual
Annual
Annual
Annual
Buffer
5 of 26 annual-cycle uncapped funds are in Target/Extended Range; the remaining 21 are mid-period. The freshest Target/Extended Range fund carries a 14.45% modeled remaining buffer, with the reference asset needing to decline roughly 10.49% before that buffer is reached, and 272 days left in the period—predominantly SPY-based across the tab.
For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Thresh.⇅ | Modeled Probability % |
View |
|---|---|---|---|---|---|---|---|---|---|
| Target Range |
ARLUSPY15% Uncapped Buffer |
AllianzIM™ | ~0.0% | ~14.4% | 272 | ~-10.5% | ~5.2% Spread | N/A | |
| Target Range |
MAYUSPY15% Uncapped Buffer |
AllianzIM™ | ~0.0% | ~14.4% | 302 | ~-3.4% | ~3.6% Spread | N/A | |
| Target Range |
JUNZSPY10% Uncapped Buffer |
TrueShares™ | ~0.0% | ~8.8% | 334 | 0.0% | ~75% Partic. | N/A | |
| Target Range |
JULUSPY15% Uncapped Buffer |
AllianzIM™ | ~0.0% | ~14.3% | 363 | ~-0.3% | ~3.6% Spread | N/A | |
| Extended Range |
JNEUSPY15% Uncapped Buffer |
AllianzIM™ | ~0.0% | ~14.3% | 333 | 0.0% | ~4.3% Spread | N/A |
Uncapped Buffer
Range
Uncapped Buffer
Range
Uncapped Buffer
Range
Uncapped Buffer
Range
Uncapped Buffer
Range
5 of 30 funds are in Target/Extended Range, and 1 is Near Cap with remaining cap compressed toward zero; the other 24 are mid-period. The freshest Target/Extended Range fund carries a modeled 100.03% buffer with 90 days remaining in its outcome period, reflecting the near-zero downside characteristic of this principal-protected structure. Periods run predominantly annual, with 8 two-year and 2 six-month funds rounding out the 30-fund tab.
For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Target Range |
AJULVOO100% Protection |
Innovator™ | ~17.0% | ~98.6% | 729 | ~-1.4% | ~8.5% | ~27% | |
| Target Range |
ZJUNVOO100% Protection |
Innovator™ | ~7.4% | ~99.3% | 333 | ~-0.7% | ~8.1% | ~32% | |
| Target Range |
ZJULVOO100% Protection |
Innovator™ | ~7.7% | ~99.3% | 363 | ~-0.7% | ~7.8% | ~34% | |
| Target Range |
JAJLVOO100% Protection |
Innovator™ | ~3.6% | ~99.5% | 182 | ~-0.5% | ~7.2% | ~38% | |
| Extended Range |
AIOOSPY100% Protection |
AllianzIM™ | ~0.0% | ~100.0% | 90 | 0.0% | ~17% Partic. | N/A |
Protection
Range
Protection
Range
Protection
Range
Protection
Range
Protection
Range
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | ZAUGSPY100% Protection |
Innovator™ | ~0.5% | ~93.5% | 29 | ~-6.5% | ~5.7% | >95% |
Protection
6 of 29 dual-direction funds are in Target/Extended Range, with the freshest showing a 14.18% modeled remaining buffer and 363 days to reset at a -0.58% downside before buffer. 2 funds are Near Cap, with remaining cap compressed toward zero across their annual outcome periods. The other 21 are mid-period, split across SPY, VOO, and QQQ underlyings.
For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Target Range |
DDTLVOODual Direction 10% Annual |
Innovator™ | ~15.0% | ~9.4% | 363 | ~-0.3% | ~15.1% | ~24% | |
| Target Range |
DDSQSPYDual Direction 5% Quarterly |
Innovator™ | ~3.6% | ~4.8% | 90 | 0.0% | ~14.7% | ~37% | |
| Extended Range |
DDTZVOODual Direction 10% Annual |
Innovator™ | ~14.8% | ~8.0% | 333 | ~-0.7% | ~16.2% | ~24% | |
| Extended Range |
DLMYSPYDual Direction 10% Annual |
First Trust™ | ~12.2% | ~8.9% | 323 | ~-1.8% | ~13.8% | ~27% | |
| Extended Range |
DDFZVOODual Direction 15% Annual |
Innovator™ | ~9.9% | ~12.9% | 333 | ~-0.8% | ~10.9% | ~32% | |
| Extended Range |
DDFLVOODual Direction 15% Annual |
Innovator™ | ~10.4% | ~14.2% | 363 | ~-0.6% | ~10.5% | ~32% |
Direction 10% Annual
Range
Direction 5% Quarterly
Range
Direction 10% Annual
Range
Direction 10% Annual
Range
Direction 15% Annual
Range
Direction 15% Annual
Range
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | DDFSSPYDual Direction 15% Annual |
Innovator™ | ~0.9% | ~18.6% | 60 | ~-7.8% | ~5.6% | ~46% | |
| Near Cap | DDTSSPYDual Direction 10% Annual |
Innovator™ | ~1.6% | ~12.1% | 60 | ~-10.0% | ~9.5% | ~43% |
Direction 15% Annual
Direction 10% Annual
11 of 23 funds are in Target/Extended Range, with the remaining 12 mid-period across 17 quarterly and 6 six-month cycles. The freshest Target/Extended Range fund carries a 19.57% modeled remaining buffer with 90 days to reset and a -0.22% downside before buffer, reflecting how recently that period began. The tab spans SPY, QQQ, IWM, EFA, EEM, and VOO underlyings.
For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Target Range |
QBSVSPY5% Buffer Quarterly |
AllianzIM™ | ~5.3% | ~4.7% | 90 | ~-0.0% | ~21.4% | ~29% | |
| Target Range |
QBQFQQQ15% Buffer Quarterly |
AllianzIM™ | ~5.2% | ~13.0% | 90 | 0.0% | ~21.0% | ~22% | |
| Target Range |
RBUFIWM10% Buffer Quarterly |
Innovator™ | ~5.0% | ~9.2% | 90 | 0.0% | ~20.3% | ~28% | |
| Target Range |
SIXDSPY10% Buffer 6-Month |
AllianzIM™ | ~8.1% | ~8.6% | 151 | ~-0.0% | ~19.5% | ~23% | |
| Target Range |
SIXJSPY10% Buffer 6-Month |
AllianzIM™ | ~7.9% | ~9.5% | 182 | ~-0.3% | ~15.8% | ~28% | |
| Target Range |
ZALTSPY10% Buffer Quarterly |
Innovator™ | ~3.4% | ~9.6% | 90 | ~-0.1% | ~14.0% | ~35% | |
| Target Range |
IBUFEFA10% Buffer Quarterly |
Innovator™ | ~3.4% | ~10.2% | 90 | ~-0.2% | ~13.7% | ~38% | |
| Target Range |
BALTSPY20% Buffer Quarterly |
Innovator™ | ~2.3% | ~19.6% | 90 | ~-0.2% | ~9.3% | ~39% | |
| Extended Range |
QBKVIWM5% Buffer Quarterly |
AllianzIM™ | ~8.9% | ~4.6% | 90 | 0.0% | ~35.9% | ~17% | |
| Extended Range |
QBIVEFA5% Buffer Quarterly |
AllianzIM™ | ~4.9% | ~5.0% | 90 | ~-0.4% | ~20.0% | ~31% | |
| Extended Range |
QBKFIWM15% Buffer Quarterly |
AllianzIM™ | ~3.8% | ~14.4% | 90 | 0.0% | ~15.6% | ~32% |
Quarterly
Range
Quarterly
Range
Quarterly
Range
6-Month
Range
6-Month
Range
Quarterly
Range
Quarterly
Range
Quarterly
Range
Quarterly
Range
Quarterly
Range
Quarterly
Range
5 of 16 accelerated funds are at their starting thresholds, with multiplier upside available from current levels; the freshest shows a 9% modeled buffer and 363 days remaining on a VOO-referenced annual cycle. No funds are Near Cap. The remaining 11 are mid-period across a mix of annual and quarterly cycles, split across QQQ, VOO, SPY, GLD, and IVV underlyings.
For informational purposes, not investment advice.
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Accel Range | XDSQVOO2x Accelerated |
Innovator™ | ~7.2% | ~0.0% | 90 | — | ~29.1% | ~30% | |
| Accel Range | XBJLVOO2x Accelerated |
Innovator™ | ~13.3% | ~9.0% | 363 | 0.0% | ~13.4% | ~30% | |
| Accel Range | XTJLVOO2x Accelerated |
Innovator™ | ~16.8% | ~0.0% | 363 | — | ~16.9% | ~30% |
Accelerated
Accelerated
Accelerated
| Status⇅ | Ticker | Provider | Rem. Cap⇅ |
Rem. Buf⇅ |
Days⇅ | DBB⇅ | Cap Yld⇅ |
Modeled Probability %⇅ |
View |
|---|---|---|---|---|---|---|---|---|---|
| Near Cap | XBOCSPY2x Accelerated |
Innovator™ | ~2.4% | ~9.0% | 90 | 0.0% | ~9.9% | ~50% | |
| Near Cap | XTOCSPY2x Accelerated |
Innovator™ | ~3.0% | ~0.0% | 90 | — | ~12.0% | ~50% |
Accelerated
Accelerated
Independent Research & Trademark Notices
Innovator™, First Trust™, AllianzIM™, TrueShares™, and iShares™ (BlackRock) are trademarks of their respective owners. Outcome Radar is an independent research publication and is not affiliated with, sponsored by, or endorsed by these or any other fund providers.
This publication is provided for informational and educational purposes only and does not constitute personalized investment advice, a recommendation to buy or sell any security, or an offer of advisory services. Investment decisions should be made based on an investor’s specific objectives and risk tolerance.
All probability estimates are model-based, hypothetical, and are not predictive of future results. Mathematical observations are based on current market data and modeled outcomes at expiration; they do not account for intra-period volatility or secondary market liquidity.
© 2026 Outcome Radar LLC. All Rights Reserved.
Top 10 Widget (Dropdown Switcher) — A single box that holds three different “Top 10” views. Use the dropdown in the widget header to switch between them:
• Closest to Target Range (default) — The 10 ETFs trading closest to their target range. An ETF showing In Range is currently inside that band for its period type (annual, 6-month, or quarterly). Amber means within 0.25% of the band; red is further away. Ranked by absolute distance from the band.
• Asymmetry Ratio — Compares modeled upside with modeled downside on a standardized ±10% index move from today. A 5x ratio means the modeled gain is five times the modeled loss in that scenario. Higher values indicate greater modeled asymmetry, not a recommendation. Funds with fewer than 30 days remaining or non-standard structures are excluded.
• Top Cap Yield — The 10 ETFs with the highest annualized remaining cap. Cap Yield normalizes different time horizons so a fund with 60 days left can be compared to one with 300 days left.
Upcoming Resets & Watchlist — A tabbed widget with two views:
• Upcoming Resets — ETFs with scheduled resets within the next 8 days. At reset, the fund begins a new outcome period with newly established cap and buffer terms.
• Watchlist — Pin up to 10 tickers as display selections. Each card shows the ETF’s current classification (Target Range, Extended Range, Near Cap, etc.), remaining cap, buffer, cap yield, and days to reset. Use the sort bar to reorder by Status, Days, Cap, or Yield. Click any card to jump to that ETF’s row. The watchlist is saved in the browser and changes presentation only; it does not alter calculations, classifications, or report content.
Volume Traded (Treemap) — The 10 most actively traded ETFs from the prior session, sized by volume. Click any box to jump directly to that ETF’s row.
Implied Volatility Chart — Weekly history for VIX (S&P 500), VXN (Nasdaq), and RVX (Russell 2000), with current end-of-day broker-derived readings. Volatility influences option premiums and may affect future reset caps, but the relationship is not one-for-one and the chart is not a timing signal. If historical data is temporarily unavailable, the report clearly labels the widget as a current snapshot rather than drawing an empty graph.
• Buffer funds in Target Range: “~14.2% modeled buffer remaining · ~13.7% remaining cap · 320 days to reset”
• Buffer funds Near Cap: “Near cap condition · ~0.8% remaining cap · 45 days to reset”
• Uncapped / Accelerated / Dual Direction / Floor / 100% Protection funds each get their own phrasing.
Near Cap — ETFs nearing their maximum return for the current outcome period. Remaining upside is limited while downside exposure can remain; no replacement ticker is selected by the report.
Modeled Acceleration Range — Leveraged ETFs (2x/3x) classified by their current position relative to the modeled multiplier threshold and ceiling.
Dual Direction — ETFs with modeled participation in both positive and negative index moves.
Mid-Period Funds — The rest of the ETF universe for that tab’s buffer type. Collapsed by default — expand to see every fund with basic metrics.