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GAPR
FT Vest U.S. Equity Moderate Buffer ETF - April
stock BATS ETF

At Close
Aug 10, 2026 3:59:45 PM EDT
42.38USD+0.047%(+0.02)5,311
42.37Bid   42.44Ask   0.07Spread
Pre-market
0.00USD-100.000%(-42.36)0
After-hours
Aug 10, 2026 4:10:30 PM EDT
42.38USD0.000%(0.00)1
OverviewHistoricalExchange VolumeDark Pool LevelsDark Pool PrintsExchangesShort VolumeShort Interest - DailyShort InterestBorrow Fee (CTB)Failure to Deliver (FTD)ShortsTrends
GAPR Reddit Mentions
Subreddits
Limit Labels     

We have sentiment values and mention counts going back to 2017. The complete data set is available via the API.
Take me to the API
GAPR Specific Mentions
As of Aug 11, 2026 9:58:58 AM EDT (<1 min. ago)
Includes all comments and posts. Mentions per user per ticker capped at one per hour.
291 days ago • u/phn064 • r/ETFs • choosing_the_right_etf_combination_is_there_too • C
Ok, let's go ahead and backtest and compare your portfolio (#1) with the more compact and efficient, yet still pretty well diversified portfolio (#2):
Portfolio #1:
50% VOO (S&P 500)
15% VXUS (International markets)
15% AVUV (U.S. smallcap value)
10% SMH (Semiconductors)
10% SCHD (Dividends)
Total return for 5.77 years: 125% ($10,000 -> $22,509)
Annual growth rate: 15%
Max drawdown: -35%
Portfolio #2:
50% GAPR (U.S. quality growth stocks)
30% IYW (U.S. technology)
10% IDMO (International markets, momentum factor)
10% SMH (Semiconductors)
Total return for 5.77 years: 209% ($10,000 -> $30,873) (+84%)
Annual growth rate: 22% (+7%)
Max drawdown: -34%
sentiment 0.95
291 days ago • u/phn064 • r/ETFs • choosing_the_right_etf_combination_is_there_too • C
Ok, let's go ahead and backtest and compare your portfolio (#1) with the more compact and efficient, yet still pretty well diversified portfolio (#2):
Portfolio #1:
50% VOO (S&P 500)
15% VXUS (International markets)
15% AVUV (U.S. smallcap value)
10% SMH (Semiconductors)
10% SCHD (Dividends)
Total return for 5.77 years: 125% ($10,000 -> $22,509)
Annual growth rate: 15%
Max drawdown: -35%
Portfolio #2:
50% GAPR (U.S. quality growth stocks)
30% IYW (U.S. technology)
10% IDMO (International markets, momentum factor)
10% SMH (Semiconductors)
Total return for 5.77 years: 209% ($10,000 -> $30,873) (+84%)
Annual growth rate: 22% (+7%)
Max drawdown: -34%
sentiment 0.95


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