AMZY
YieldMax™ AMZN
Option Income
Strategy ETF
The Fund does not invest directly in AMZN.
Investing in the fund involves a high degree of risk.
Single Issuer Risk. Issuer-specific attributes may cause an investment in the Fund to be more volatile than a traditional pooled investment which diversifies risk or the market generally. The value of the Fund, which focuses on an individual security AMZN, may be more volatile than a traditional pooled investment or the market as a whole and may perform differently from the value of a traditional pooled investment or the market as a whole.
The Fund’s strategy will cap its potential gains if AMZN shares increase in value. The Fund’s strategy is subject to all potential losses if AMZN shares decrease in value, which may not be offset by income received by the Fund. The Fund may not be suitable for all investors.
Shareholders of the Fund are not entitled to any dividends paid by AMZN.
Distribution Rate*:
Rate | Name | Date |
---|---|---|
74.79 | YieldMax AMZY Option Income Strategy ETF | 12/11/2024 |
30-Day SEC Yield**:
Name | value | date |
---|---|---|
30-Day SEC Yield | 3.48 | 11/30/2024 |
Distribution Details
For YieldMax™ ETFs Distribution Schedules, click here.
ticker_name | Distribution per Share | declared date | ex date | record date | payable date |
---|---|---|---|---|---|
AMZY | 1.1731 | 11/20/2024 | 11/21/2024 | 11/21/2024 | 11/22/2024 |
AMZY | 0.7632 | 10/23/2024 | 10/24/2024 | 10/24/2024 | 10/25/2024 |
AMZY | 0.6561 | 09/05/2024 | 09/06/2024 | 09/06/2024 | 09/09/2024 |
AMZY | 0.4736 | 08/06/2024 | 08/07/2024 | 08/07/2024 | 08/08/2024 |
AMZY | 0.7650 | 07/03/2024 | 07/05/2024 | 07/05/2024 | 07/08/2024 |
AMZY | 0.9541 | 06/05/2024 | 06/06/2024 | 06/06/2024 | 06/07/2024 |
AMZY | 0.9726 | 05/03/2024 | 05/06/2024 | 05/07/2024 | 05/08/2024 |
AMZY | 0.6970 | 04/03/2024 | 04/04/2024 | 04/05/2024 | 04/08/2024 |
AMZY | 0.6426 | 03/05/2024 | 03/06/2024 | 03/07/2024 | 03/08/2024 |
AMZY | 0.6842 | 02/06/2024 | 02/07/2024 | 02/08/2024 | 02/09/2024 |
AMZY | 0.3682 | 01/04/2024 | 01/05/2024 | 01/08/2024 | 01/09/2024 |
AMZY | 0.4690 | 12/06/2023 | 12/07/2023 | 12/08/2023 | 12/13/2023 |
AMZY | 0.5439 | 11/07/2023 | 11/08/2023 | 11/09/2023 | 11/16/2023 |
AMZY | 0.6338 | 10/05/2023 | 10/06/2023 | 10/10/2023 | 10/16/2023 |
AMZY | 0.4711 | 09/07/2023 | 09/08/2023 | 09/11/2023 | 09/18/2023 |
*The Distribution Rate is the annual rate an investor would receive if the most recently declared distribution, which includes option income, remained the same going forward. The Distribution Rate is calculated by multiplying an ETF’s Distribution per Share by twelve (12), and dividing the resulting amount by the ETF’s most recent NAV. The Distribution Rate represents a single distribution from the ETF and does not represent its total return. The 30-Day SEC Yield represents net investment income,which excludes option income, earned by such ETF over the 30-Day period ended at the most recent month-end, expressed as an annual percentage rate based on such ETF’s share price at the end of the 30-Day period. Distributions are not guaranteed.
**The Distribution Rate and 30-Day SEC Yield is not indicative of future distributions, if any, on the ETFs. In particular, future distributions on any ETF may differ significantly from its Distribution Rate or 30-Day SEC Yield. You are not guaranteed a distribution under the ETFs. Accordingly, the Distribution Rate and 30-Day SEC Yield will change over time, and such change may be significant.
The distribution may include a combination of ordinary dividends, capital gain, and return of investor capital, which may decrease a fund’s NAV and trading price over time. As a result, an investor may suffer significant losses to their investment.
YieldMax™ ETF distributions may contain return of capital, but an estimate cannot be provided at this time. Please refer to the 19a-1 notices at here for additional details regarding the distributions’ composition, once available.
Fund Overview
The YieldMax™ AMZN Option Income Strategy ETF (AMZY) is an actively managed fund that seeks to generate monthly income by selling/writing call options on AMZN. AMZY pursues a strategy that aims to harvest compelling yields, while retaining capped participation in the price gains of AMZN.
Investment Objective
The Fund’s primary investment objective is to seek current income. The Fund’s secondary investment objective is to seek exposure to the share price of the common stock of AMAZON Corporation (“AMAZON”), subject to a limit on potential investment gains.
Fund Information
wdt_ID | New column | New column |
---|---|---|
1 | Fund Name | YieldMax™ AMZN Option Income Strategy ETF |
2 | Ticker | AMZY |
3 | Fund Inception | 7/24/2023 |
4 | Primary Exchange | NYSE Arca |
5 | CUSIP | 88634T840 |
6 | NAV Symbol | AMZY.NV |
7 | Gross Expense Ratio | 0.99% |
Name | value | date |
---|---|---|
30-Day SEC Yield | 3.48 | 11/30/2024 |
Fund Name | Fund Ticker | CUSIP | 30-Day SEC Yield | Date |
---|---|---|---|---|
YieldMax TSLA Option Income Strategy ETF | TSLY | 88636J444 | 2.98 | 11/30/2024 |
Fund Data & Pricing
Name | value |
---|---|
Net Assets | $239.12m |
NAV | $20.39 |
Shares Outstanding | 11,725,000 |
Premium/Discount Percentage | -0.02% |
Closing Price | $20.39 |
Median 30 Day Spread** | 0.1% |
Rate Date |
---|
12/11/2024 |
Performance
Name |
---|
11/30/2024 |
Fund Ticker | 1-Month | 3-Month | 6-Month | YTD | 1-Year | 3-Year | 5-Year | Since Inception Cumulative (7/24/2023) | Since Inception Annualized (7/24/2023) | Fund Name | Date |
---|---|---|---|---|---|---|---|---|---|---|---|
AMZY NAV | 9.05 | 12.02 | 9.04 | 31.82 | 37.58 | – | – | 55.98 | 38.88 | YieldMax AMZN Option Income ETF | 11/30/2024 |
AMZY MKT | 9.09 | 11.99 | 8.95 | 31.4 | 37.29 | – | – | 55.38 | 38.49 | YieldMax AMZN Option Income ETF | 11/30/2024 |
SPTR2 | 5.87 | 7.15 | 15.07 | 28.07 | 33.89 | – | – | 35.10 | 24.89 | S&P 500 TR | 11/30/2024 |
Name |
---|
09/30/2024 |
Fund Ticker | 1-Month | 3-Month | 6-Month | YTD | 1-Year | 3-Year | 5-Year | Since Inception Cumulative (7/24/2023) | Since Inception Annualized (7/24/2023) | Fund Name | Date |
---|---|---|---|---|---|---|---|---|---|---|---|
AMZY NAV | 2.76 | -3.18 | 1.81 | 20.92 | 41.1 | – | – | 43.08 | 35.25 | YieldMax AMZN Option Income ETF | 09/30/2024 |
AMZY MKT | 2.50 | -3.57 | 1.51 | 20.27 | 40.48 | – | – | 42.22 | 34.57 | YieldMax AMZN Option Income ETF | 09/30/2024 |
SPTR2 | 2.14 | 5.89 | 10.42 | 22.08 | 36.35 | – | – | 28.78 | 23.76 | S&P 500 TR | 09/30/2024 |
The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted. Performance current to the most recent month-end can be obtained by calling (866) 864-3968.
Short term performance, in particular, is not a good indication of the fund’s future performance, and an investment should not be made based solely on returns. Returns beyond 1 year are annualized. A fund’s NAV is the sum of all its assets less any liabilities, divided by the number of shares outstanding. The market price is the most recent price at which the fund was traded. The fund intends to pay out dividends and interest income, if any, monthly. There is no guarantee these distributions will be made.
Holdings
Top 10 Holdings
Name |
---|
12/12/2024 |
Security Name | CUSIP | Shares | Price | Market Value | Net Assets | Weightings | StockTicker | SharesOutstanding | Date | CreationUnits | Account | MoneyMarketFlag |
---|---|---|---|---|---|---|---|---|---|---|---|---|
AMZN 02/21/2025 210.01 P | 2AMZN 250221P00210010 | -10,550.00 | 4.19 | -4,423,063.24 | 239,120,822 | -1.85% | 2AMZN 250221P00210010 | 11,725,000 | 12/12/2024 | 469 | AMZY | |
United States Treasury Bill 01/16/2025 | 912797LY1 | 16,113,000.00 | 99.58 | 16,045,709.21 | 239,120,822 | 6.71% | 912797LY1 | 11,725,000 | 12/12/2024 | 469 | AMZY | |
United States Treasury Bill 02/13/2025 | 912797MK0 | 16,166,000.00 | 99.26 | 16,045,729.97 | 239,120,822 | 6.71% | 912797MK0 | 11,725,000 | 12/12/2024 | 469 | AMZY | |
United States Treasury Bill 03/11/2025 | 912797NQ6 | 16,219,000.00 | 98.95 | 16,048,888.64 | 239,120,822 | 6.71% | 912797NQ6 | 11,725,000 | 12/12/2024 | 469 | AMZY | |
United States Treasury Note/Bond 2.625% 04/15/2025 | 91282CEH0 | 56,429,000.00 | 99.43 | 56,109,151.96 | 239,120,822 | 23.47% | 91282CEH0 | 11,725,000 | 12/12/2024 | 469 | AMZY | |
United States Treasury Note/Bond 3% 07/15/2025 | 91282CEY3 | 54,920,000.00 | 99.27 | 54,517,696.72 | 239,120,822 | 22.81% | 91282CEY3 | 11,725,000 | 12/12/2024 | 469 | AMZY | |
United States Treasury Note/Bond 3.875% 01/15/2026 | 91282CGE5 | 57,051,000.00 | 99.62 | 56,832,601.93 | 239,120,822 | 23.78% | 91282CGE5 | 11,725,000 | 12/12/2024 | 469 | AMZY | |
AMAZON C CLL OPT 12/24 235 | AMZN 241220C00235000 | -10,550.00 | 2.01 | -2,115,275.00 | 239,120,822 | -0.88% | AMZN 241220C00235000 | 11,725,000 | 12/12/2024 | 469 | AMZY | |
AMAZON C CLL OPT 12/24 242.500 | AMZN 241220C00242500 | 10,550.00 | 0.62 | 648,825.00 | 239,120,822 | 0.27% | AMZN 241220C00242500 | 11,725,000 | 12/12/2024 | 469 | AMZY | |
AMZN US 02/21/25 C210 | AMZN 250221C00210000 | 10,550.00 | 26.80 | 28,274,000.00 | 239,120,822 | 11.83% | AMZN 250221C00210000 | 11,725,000 | 12/12/2024 | 469 | AMZY | |
First American Government Obligations Fund 12/01/2031 | 31846V336 | 3,121,169.70 | 100.00 | 3,121,169.70 | 239,120,822 | 1.31% | FGXXX | 11,725,000 | 12/12/2024 | 469 | AMZY | Y |
Cash & Other | Cash&Other | -2,068,836.53 | 1.00 | -2,068,836.53 | 239,120,822 | -0.87% | Cash&Other | 11,725,000 | 12/12/2024 | 469 | AMZY | Y |
Purchase Information
This Fund is not affiliated with these financial service firms.
Their listing should not be viewed as a recommendation or endorsement.
Risk Information
Before investing you should carefully consider the Fund’s investment objectives, risks, charges and expenses. This and other information is in the prospectus. Please read the prospectuses carefully before you invest.
Investments involve risk. Principal loss is possible. Shareholders of the Fund are not entitled to dividends paid out by AMZN.
THE FUND, TRUST, ADVISER, AND SUB-ADVISER ARE NOT AFFILIATED WITH AMAZON.COM, INC.
Due to the Fund’s investment strategy, the Fund’s investment exposure is concentrated in the same industry as that assigned to AMZN. As of the date of the Prospectus, AMZN is assigned to the catalog/specialty distribution industry.
AMZN Risk. The Fund invests in options contracts that are based on the value of AMZN. This subjects the Fund to certain of the same risks as if it owned shares of AMZN, even though it does not. By virtue of the Fund’s investments in options contracts that are based on the value of AMZN, the Fund may also be subject to the following risks:
Indirect Investment in AMZN Risk. Amazon.com, Inc. is not affiliated with the Trust, the Fund, the Adviser, the Sub-Adviser, or their respective affiliates and is not involved with this offering in any way and has no obligation to consider your Shares in taking any corporate actions that might affect the value of Shares. Investors in the Fund will not have voting rights and will not be able to influence management of Amazon.com, Inc. but will be exposed to the performance of AMZN (the underlying stock). Investors in the Fund will not have rights to receive dividends or other distributions or any other rights with respect to the underlying stock but will be subject to declines in the performance of the underlying stock.
Internet & Direct Marketing Retail Risk. Companies, such as Amazon.com, Inc., that operate via the internet or direct marketing (e.g., online consumer services, online retail, travel) segments are subject to fluctuating consumer demand. Unlike traditional brick and mortar retailers, online marketplaces and retailers must assume shipping costs or pass such costs to consumers. Consumer access to price information for the same or similar products may cause companies that operate in the online marketplace, retail and travel segments to reduce profit margins in order to compete. Due to the nature of their business models, companies that operate in the online marketplace, retail, and travel segments may also be subject to heightened cybersecurity risk, including the risk of theft or damage to vital hardware, software, and information systems.
Derivatives Risk. Derivatives are financial instruments that derive value from the underlying reference asset or assets, such as stocks, bonds, or funds (including ETFs), interest rates or indexes. The Fund’s investments in derivatives may pose risks in addition to, and greater than, those associated with directly investing in securities or other ordinary investments, including risk related to the market, imperfect correlation with underlying investments or the Fund’s other portfolio holdings, higher price volatility, lack of availability, counterparty risk, liquidity, valuation and legal restrictions.
Options Contracts. The use of options contracts involves investment strategies and risks different from those associated with ordinary portfolio securities transactions. The prices of options are volatile and are influenced by, among other things, actual and anticipated changes in the value of the underlying instrument, including the anticipated volatility, which are affected by fiscal and monetary policies and by national and international political, changes in the actual or implied volatility or the reference asset, the time remaining until the expiration of the option contract and economic events. For the Fund in particular, the value of the options contracts in which it invests are substantially influenced by the value of TSLA.
New Fund Risk. The Fund is a recently organized management investment company with no operating history. As a result, prospective investors do not have a track record or history on which to base their investment decisions.
U.S. Government and U.S. Agency Obligations Risk. The Fund may invest in securities issued by the U.S. government or its agencies or instrumentalities. U.S. Government obligations include securities issued or guaranteed as to principal and interest by the U.S. Government, its agencies or instrumentalities, such as the U.S. Treasury.
Launch & Structure Partner: Tidal ETF Services
The Funds are distributed by Foreside Fund Services, LLC. Foreside is not affiliated with YieldMax or Tidal.