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Yieldmax Universe Fund of Option Income ETF (YMAX)

Yieldmax Universe Fund of Option Income ETF (YMAX)
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Overview

Name YieldMax Universe Fund of Option Income ETFs
Fund Family Elevate Shares - YieldMax ETFs
Underlying Index N/A
Inception Date 01/16/24
First Trade Date 01/17/24
Leverage Long
Asset Class Portfolio-Multi Asset

Sector:

N/A

Description:

The YieldMax Universe Fund of Option Income ETFs seeks to generate current income. The Fund is a "fund of funds," meaning that it primarily invests its assets in the shares of other ETFs, rather than in securities of individual companies.

Investment Information

Alpha 0.00
60-Month Beta 1.29
Standard Deviation -2.09
Shares Outstanding, K 79,150.00
Managed Assets, $K 789,917.00 K
Net Asset Value 9.98
First Trade Price 19.80
P/E Ratio 0.00
Management Fee 0.29%
Options Yes
Latest Dividend 0.094
Last Dividend Date 12/24/25
Annual Dividend 7.25
Annual Dividend Yield 72.66%
1-Year Return -41.57%
3-Year Return 0.00%
5-Year Return 0.00%

YMAX Dividends

Date Value
12/24/25 $0.0940
12/17/25 $0.1230
12/10/25 $0.1140
12/03/25 $0.0960
11/26/25 $0.1010
11/19/25 $0.1300
11/12/25 $0.1510
11/05/25 $0.1740
10/29/25 $0.1940
10/22/25 $0.1570
10/09/25 $0.1470
10/02/25 $0.1400
09/25/25 $0.0820
09/18/25 $0.1290
09/11/25 $0.1320
09/04/25 $0.1090
08/28/25 $0.1370
08/21/25 $0.1620
08/14/25 $0.1100
08/07/25 $0.1450
07/31/25 $0.1650
07/24/25 $0.1840
07/17/25 $0.1040
07/10/25 $0.1350
07/03/25 $0.1570
06/26/25 $0.1550
06/20/25 $0.1420
06/12/25 $0.1800
06/05/25 $0.1720
05/29/25 $0.2150
05/22/25 $0.1860
05/15/25 $0.1910
05/08/25 $0.1680
05/01/25 $0.1740
04/24/25 $0.1370
04/17/25 $0.1330
04/10/25 $0.1290
04/03/25 $0.1780
03/27/25 $0.1320
03/20/25 $0.1530
03/13/25 $0.1000
03/06/25 $0.2410
02/27/25 $0.1330
02/20/25 $0.1850
02/13/25 $0.1500
02/06/25 $0.1940
01/30/25 $0.1470
01/23/25 $0.1720
01/16/25 $0.1120
01/08/25 $0.1400
01/03/25 $0.1810
12/27/24 $0.2450
12/19/24 $0.1390
12/12/24 $0.1230
12/05/24 $0.2380
11/29/24 $0.3060
11/21/24 $0.2440
11/14/24 $0.1520
11/07/24 $0.1200
10/31/24 $0.2250
10/24/24 $0.2270
10/17/24 $0.1750
10/10/24 $0.2040
10/03/24 $0.2080
09/26/24 $0.2220
09/19/24 $0.2270
08/15/24 $0.5910
07/17/24 $0.6520
06/14/24 $0.7300
05/15/24 $0.7320
04/17/24 $0.6320
03/14/24 $0.5680
02/15/24 $0.5340
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