BO

ProShares Ultra BloombergBOIL

ARCA

Môi Giới Hàng Hóa

27,19 US$+0.11%

Phân tích AI Đa Khung thời gian

Ngắn hạn65% tin cậy
Bi quan

5m and 1H charts show price below lower Bollinger Bands, MACD negative and below signal, and RSI deeply oversold with thin volume indicating a high-risk continuation lower.

Trung hạn70% tin cậy
Bi quan

1H and 1D MACD divergence, negative cash from operations in three of four quarters, and 48.8% 200-day decline with doubled shares outstanding point to continued pressure.

Dài hạn80% tin cậy
Bi quan

200-day price collapse of 48.8%, persistent negative operating cash flow, share count doubling, and structural contango drag on a 2x leveraged futures ETV indicate long-term erosion.

Góc nhìn AI tổng thể72% tin cậy
Bi quan

BOIL shows a deeply oversold 1H RSI (6.77) and extreme intraday reversal from $31.93 to $28.70, but the 200-day chart reveals a 48.8% decline with negative cash flow trends and massive share dilution; leveraged futures exposure favors bearish continuation over multi-horizon periods.

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Business Snapshot

  • BOIL is an exchange-traded vehicle (ETV) issued by ProShares Trust II, designed to provide 2x leveraged daily exposure to the Bloomberg Natural Gas Subindex (i.e., natural gas futures).
  • As a leveraged ETF, BOIL does not operate a business, generate revenue from operations, or have traditional company fundamentals. Its performance is tied entirely to the daily price movement of natural gas futures, compounded by leverage and the costs of rolling futures contracts (contango/backwardation).
  • The asset type (ETV) means this is not a common stock; it is a derivative-based product that resets leverage daily. Long-term holding is generally not recommended due to volatility decay.
  • The SEC-matched entity is ProShares Trust II (CIK 1415311), a trust that issues multiple leveraged and inverse funds.

Financial Trends

  • Revenue: BOIL reported revenue of $44,607,770 for the quarter ending 2026-03-31. No revenue was reported in prior periods (2025-12-31, 2025-09-30, 2025-06-30) because this is not an operating company — revenue here likely reflects income from securities lending or other fund activities. This is a one-time data point; no trend can be established.
  • Operating Expenses: Expenses have been increasing: $10,451,534 (2025-06-30) → $12,093,236 (2025-09-30) → $46,715,652 (2025-12-31) → $18,068,346 (2026-03-31). The spike in Q4 2025 (Dec) was significant (+286% vs prior quarter), then dropped in Q1 2026. No clear trajectory.
  • Net Income: Highly volatile: $171,169,244 (2025-06-30) → $76,112,451 (2025-09-30, -55.5%) → $1,711,915,524 (2025-12-31, +2,149%) → $478,011,148 (2026-03-31, -72.1%). This is driven by changes in the value of natural gas futures held by the fund, not operational earnings.
  • Net Margin: Reported at 1,071.59% for 2026-03-31 — this is not a standard operating margin; it reflects the fund’s structure where net income far exceeds "revenue" due to unrealized gains on futures positions. Not comparable to a normal company.
  • Cash from Operations: Deeply negative in most periods: $776,752,221 (2025-06-30) → -$1,270,861,493 (2025-09-30) → -$246,299,551 (2025-12-31) → -$1,243,252,622 (2026-03-31). This reflects the cost of rolling futures and management fees, not operational cash burn.
  • Cash from Financing: Positive in 2025-12-31 ($919,604,486) and 2025-09-30 ($854,120,278), but negative in 2025-06-30 (-$20,322,897). This is driven by creation/redemption of ETF shares — not debt or equity issuance.
  • Free Cash Flow: Not calculated (N/A) — standard for an ETF.
  • Balance Sheet: Total assets have grown steadily: $3.81B (2025-06-30) → $4.62B (2025-09-30) → $6.06B (2025-12-31) → $6.54B (2026-03-31). This is a 71.7% increase over four quarters, driven by inflows and asset appreciation. Liabilities also grew, but equity grew faster. Shares outstanding surged from 125.9M to 234.7M over the period — massive dilution from creation activity, likely due to increased demand for natural gas exposure.

Financial Health

  • BOIL is not a company — its "financial health" is not measured by traditional metrics. The balance sheet shows a trust that holds assets (likely cash, Treasuries, and futures margin) against liabilities (redemption obligations). The equity/share count growth indicates strong investor demand for leveraged natural gas exposure.
  • The negative cash from operations in three of the last four periods is typical for a leveraged commodity ETF, as futures rolling costs eat into cash. The $1.24B operating cash outflow in Q1 2026 is the largest yet, suggesting elevated contango costs or high management fees.
  • The trust has no debt (Debt/Equity not reported, likely zero). The current ratio and working capital are not applicable — the trust is designed to track an index, not maintain liquidity for operations.
  • The net margin above 1,000% is an artifact of accounting for derivative gains; it is not a sign of profitability. The fund’s performance is entirely driven by natural gas price moves and leverage decay.

Insider Activity

  • No insider transaction data was provided for BOIL. As an ETV issued by a trust, there are no traditional insiders (executives, board members) to report trades. Insider sentiment is not applicable.

Multi-Timeframe Technical Context

  • 1-Minute: Price closed at $28.70, down 0.14% over 200 bars. RSI (14) at 42.77 is neutral-to-bearish. MACD is slightly negative (-0.0056) and below signal. Price is near the lower Bollinger Band ($28.69), suggesting short-term oversold pressure. Volume is low (201 vs 545 avg), indicating thin liquidity.
  • 5-Minute: Despite the 1m weakness, the 5m chart shows a +6% gain over 200 bars (from $29.00 to $30.74), but the current price is $28.70 — indicating a sharp reversal from the session high ($31.50). RSI (14) at 27.09 is deeply oversold. MACD is negative and below signal. Price is below the lower Bollinger Band ($30.84), signaling extreme bearish momentum in this timeframe.
  • 15-Minute: Over 200 bars, price is up 2.9% (from $27.89 to $28.70), but the session high was $31.50 — a massive intraday range. RSI (14) at 54.15 is neutral. MACD is slightly negative but converging toward signal. Price is near the middle Bollinger Band ($28.69), suggesting a potential equilibrium.
  • 1-Hour: The most telling timeframe — price closed at $28.70, flat over 200 bars, but the session high was $31.93 and low was $24.72 (a $7.21 range). RSI (14) is at 6.77 — deeply oversold, the lowest reading across all timeframes. MACD is sharply negative (-0.3764) and well below signal. Price is below the lower Bollinger Band ($27.64), indicating extreme bearish momentum. Volume is thin (5,018 vs 182,435 avg), suggesting this is a low-liquidity session.
  • 1-Day: Massive downtrend over 200 bars — price fell from $55.90 to $28.62 (-48.8%). The high was $93.70, the low $24.14. RSI (14) at 53.14 is neutral, not oversold, despite the large decline. MACD is positive (0.3853) and above signal, indicating a potential bullish crossover on the daily chart. Price is near the middle Bollinger Band ($27.73), with the upper band at $31.11 and lower at $24.35. Volume is slightly below average (3.63M vs 4.38M).

Bull / Bear Cases

Short-Term (Hours to Days)
  • Bull Case: The 1-hour RSI at 6.77 is deeply oversold — a mean-reversion bounce is possible, especially if natural gas futures stabilize. The daily MACD is bullish, suggesting underlying trend momentum. A move above $29.00 (1H EMA 12) could trigger a short squeeze, targeting $31.00-$31.93 (session highs).
  • Bear Case: The 5-minute and 1-hour charts show extreme bearish momentum with price below all short-term moving averages. The intraday reversal from $31.93 to $28.70 (a 10% drop) suggests aggressive selling. If natural gas futures continue to decline, BOIL could test the daily low of $24.14. The low volume on the 1H chart makes this move unreliable for reversal.
Long-Term (Weeks to Months)
  • Bull Case: Natural gas prices may be at a cyclical low, and BOIL offers leveraged upside if a sustained rally occurs. The daily MACD crossover is a positive signal. The trust’s asset growth ($6.5B) indicates strong institutional interest. If natural gas enters a backwardation cycle, rolling costs decrease, benefiting BOIL.
  • Bear Case: BOIL suffers from volatility decay — over 200 days, the underlying natural gas index may have moved sideways or down, but BOIL lost 48.8%. Contango in natural gas futures erodes NAV over time. With shares outstanding doubling in a year, dilution from creation/redemption can weigh on performance. The 200-day SMA ($46.39) is far above current price, indicating a long-term downtrend.

Key Levels & Triggers

  • Support: $27.64 (1H lower Bollinger Band), $24.35 (1D lower Bollinger Band), $24.14 (200-day low).
  • Resistance: $29.00-$29.05 (1H EMA 12/50), $29.70 (1H SMA 20), $31.11 (1D upper Bollinger Band), $31.93 (session high).
  • Triggers:
    • Natural gas futures price — any significant move in the underlying index will directly drive BOIL.
    • Volume spike — a sudden increase in trading volume on the 1H or 1D chart could confirm a breakout or breakdown.
    • Daily MACD cross — if the daily MACD line crosses below the signal line, it would turn bearish; currently bullish.
    • Roll cost announcements — ProShares may adjust expense ratios or roll schedules, impacting NAV.
    • Market status — the market is closed; the next session open will set the tone for gap risk.

Dữ liệu tài chính

Từ SEC EDGAR · Kỳ báo cáo 2026-03-31 · Biểu mẫu nguồn 10-Q

Báo cáo lợi nhuận · 4 kỳ gần nhất

 
2026-03-31
10-Q
2025-12-31
10-K
2025-09-30
10-Q
2025-06-30
10-Q
Doanh thu$44.61M
Lợi nhuận ròng$478.01M$1.71B$76.11M$171.17M
Biên lợi nhuận ròng1071.59%

Bảng cân đối kế toán · 4 kỳ gần nhất

 
2026-03-31
10-Q
2025-12-31
10-Q
2025-09-30
10-Q
2025-06-30
10-Q
Tổng tài sản$6.54B$6.06B$4.62B$3.81B
Tổng nợ phải trả$349.01M$338.87M$101.05M$155.65M
Vốn chủ sở hữu$6.19B$5.72B$4.52B$3.65B

Báo cáo lưu chuyển tiền tệ · 4 kỳ gần nhất

 
2026-03-31
10-Q
2025-12-31
10-K
2025-09-30
10-Q
2025-06-30
10-Q
Lưu chuyển tiền tệ từ hoạt động kinh doanh-$1.24B-$246.30M-$1.27B$776.75M
Lưu chuyển tiền tệ từ hoạt động tài chính$105.36M$919.60M$854.12M-$20.32M

Báo cáo lợi nhuận

Doanh thu
$44.61M
Lợi nhuận gộp
Lợi nhuận hoạt động
Lợi nhuận ròng
$478.01M
Lợi nhuận trên mỗi cổ phiếu (cơ bản)
Lợi nhuận trên mỗi cổ phiếu (loãng)

Bảng cân đối kế toán

Tổng tài sản
$6.54B
Tổng nợ phải trả
$349.01M
Vốn chủ sở hữu
$6.19B
Tiền mặt và các khoản tương đương
$811.97M
Nợ dài hạn
Cổ phiếu đang lưu hành
294.97M

Báo cáo lưu chuyển tiền tệ

Lưu chuyển tiền tệ từ hoạt động kinh doanh
-$1.24B
Lưu chuyển tiền tệ từ hoạt động đầu tư
Lưu chuyển tiền tệ từ hoạt động tài chính
$105.36M
Chi phí vốn
Dòng tiền tự do

Tỷ lệ chính

Biên lợi nhuận gộp
Biên lợi nhuận hoạt động
Biên lợi nhuận ròng
1071.59%
Tỷ lệ thanh khoản
Tỷ lệ nợ trên vốn chủ sở hữu
Dòng tiền tự do

Số liệu chính

Vốn hóa
Cao nhất 52 tuần
Thấp nhất 52 tuần
Khối lượng trung bình 30 ngày

nhân viên

Phân tích AI SimianX gần đây

  • intelligencetin cậy 70%

    Bearish tilt on BOIL driven by hotter jobs data lifting rate-hike odds and pushing Goldman to delay cuts to 2027, creating risk-off pressure on rate-sensitive commodities.

  • indicatorBi quan

    Price below key EMAs with bearish MACD, though RSI oversold and volume light in pre-market.

  • decisiontin cậy 82%

    MARKET STATE: Pre-market session with strong bearish alignment across fundamentals, technicals, and intelligence. MY READ: All three agents are aligned on bearish direction with moderate-to-high confidence. Price is already extended below multiple EMAs and the middle Bollinger Band, volume is anemic, and macro headwinds (rate-hike fears, geopolitical tension) reinforce the downside bias. No structural break or bullish catalyst is evident to justify going long into this setup. AI DECISION (for next hours to half a day): Action: NO_TRADE Confidence: 0.82 Rationale: The hard trend rule forbids longs when the dominant direction is bearish, and every input stack (fundamentals, indicators, sentiment) is pointing down. Entering here would be fighting the tape with no clear edge; waiting for either a structural reversal or a better-defined risk/reward setup is the higher-probability path.

  • intelligencetin cậy 70%

    BOIL faces bearish pressure from macro-driven market selloff and geopolitical tensions, with no offsetting ticker-specific catalysts.

  • intelligencetin cậy 70%

    Bearish dominant narrative driven by hot jobs data raising rate-hike fears, triggering broad equity sell-off that is expected to pressure BOIL.

  • decisiontin cậy 75%

    MARKET STATE: Post-market session, price at $28.605, with strong bullish technical signals on 1H but bearish macro sentiment from hot jobs data. MY READ: Technicals are screaming bullish with near-perfect strength, but the macro narrative is decisively bearish — strong jobs data is shifting Fed expectations higher, pressuring commodities. The fundamental signal shows a split: bullish short-term but bearish long-term. This is classic disagreement between tape and macro. MY ANALYSIS: The technicals want to go up, but the fundamental and intelligence layers are aligned against it. With a strong jobs report and rate-hike expectations, natural gas is under pressure. The last three trades were either cancelled or tiny winners — no pattern of being stopped out, so no obvious behavioral bias to correct. Given the macro headwinds and the fact we're post-market heading into close, the risk of chasing a technical bounce into a macro-driven selloff is too high. AI DECISION (for next hours to half a day): Action: NO_TRADE Confidence: 0.75 Rationale: Technicals are bullish but macro sentiment is bearish with high impact, and we're heading into market close with no clear catalyst to overcome the jobs-driven narrative. The risk/reward favors waiting — the tape may look good, but the fundamental backdrop is hostile.

Tin tức mới nhất

Hiển thị tin tức cổ phiếu toàn thị trường

Cổ phiếu liên quantrong Môi Giới Hàng Hóa

Sẵn sàng xem góc nhìn AI trực tiếp về BOIL?

Khởi chạy phòng đa tác nhân thời gian thực — Claude, GPT, Gemini, DeepSeek, Grok và Qwen phân tích BOIL song song với tín hiệu trực tiếp.