EdgeMarketInstruments › MARPS

MARPS — MARINE PETROLEUM TRUST

US equity
4.88 +0.52% today
USD · as of 2026-08-21

Price · 2024-08-26 → 2026-08-21

499 daily closes shown
52w low 4.14 · high 5.92

Anonymous view is capped at two years of history. A free account extends it to five, and Pro opens the whole archive back to 2016-01-04.

Performance

1 day+0.52%
1 week+3.50%
1 month-2.21%
3 months-0.91%
6 months+8.82%
Year to date+17.47%
1 year+7.14%
3 years-14.47%
5 years+17.47%

Technicals

RSI 1459.5
vs 50-day avg+3.35%
vs 200-day avg+2.86%
Volatility 1y61.9%
Max drawdown 1y-28.04%
Avg volume 30d6.1K
Daily bars held2,674
History from2016-01-04

Dividends

Yield (trailing 12m)8.42%
Paid last 12m0.4107
Payments in 12m5
Paying since2016-02-25

Measured signals that fired on MARPS

datesignal measured base rate
2026-07-28Short volume far above its own normal
short
-0.76% over 21 days · t = -2.79 · n = 5,897
statistically distinguishable from its control group

Excess return against a matched control group, on a point-in-time universe that includes delisted companies. Most families do not survive that. How the measurement works →

Largest institutional holders

managervalueshares
BANK OF AMERICA CORP /DE/144.6K27.2K
Welch Group, LLC84.6K16.0K
AZZAD ASSET MANAGEMENT INC /ADV83.0K15.6K
MORGAN STANLEY13.2K2.5K
UBS Group AG3.2K597
Allworth Financial LP2.7K517
BNP PARIBAS FINANCIAL MARKETS1.1K200
WELLS FARGO & COMPANY/MN81

13F positions as of 2026-03-31, filed up to 45 days after quarter end. Long-only US equity — shorts and derivatives never appear. What 13F does and does not show →

Short selling

Avg short volume, 90d28.5% of tape
Days observed61

This is off-exchange short volume, not short interest: it is flow, not position, and 40–50% is normal because market makers short to fill your buy. Why that number misleads →

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