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QDTE ETF Data

Fund Profile · Snapshot Metrics · Exposure · Technicals · Risk

Financial ServicesAsset Management - IncomeScore data as of Sep 8, 2026

QDTE

ETF Data
Roundhill Investments - Innovation-100 0DTE Covered Call Strategy ETF
Financial Services· Asset Management - Income
AIQ Score
NeutralAIQ Edge 4/10
Low Priority
In Line With Peers
Score data as of Sep 8, 2026
Last price
$28.86
+$0.02 (+0.07%)
Latest market quote
Momentum33
Value
Quality49
Risk Resilience76
Sentiment
View financial data

ETF Data Overview

ETF pages show fund-native profile, cost, size, liquidity, exposure, technical, and risk evidence.

ETF profile fields
9
ETF metrics
8
Technical indicators
12
Risk measures
6

ETF Snapshot Data

Updated Sep 8, 2026.

Fund profile
FieldValue
Fund nameRoundhill Investments - Innovation-100 0DTE Covered Call Strategy ETF
IssuerRoundhill Investments
Asset classEquity
Primary exposureCash & Others (94.99%)
DomicileUS
Inception dateMar 7, 2024
NAV currencyUSD
CUSIP77926X304
ISINUS77926X3044
Current ETF snapshot
FieldValue
Price$28.86
Fund size$957.93M
Expense ratio0.97%
Holdings count6
NAV$28.83
Average volume129K
Distribution yield13.01%
AIQ Score49/100

ETF Holdings

Reported holdings from the latest ETF holder snapshot.

Concentration
96.34%in QDTE's top 5 holdings
  • 4NDX 270319C02510150NDX 03/19/2027 2510.15 C25.92%
  • 4NDX 261218C024501004NDX US 12/18/26 C2450.1 FLX25.11%
  • 4NDX 270611C03059420NDX 06/11/2027 3059.42 C22.11%
  • 4NDX 260918C022500004NDX US 09/18/26 C2250 FLX18.20%
  • WEEKRoundhill Weekly T-Bill ETF5.00%
  • Rest of fund3.66%
SymbolHoldingWeightMarket value
4NDX 270319C02510150NDX 03/19/2027 2510.15 C25.92%$248.34M
4NDX 261218C024501004NDX US 12/18/26 C2450.1 FLX25.11%$240.57M
4NDX 270611C03059420NDX 06/11/2027 3059.42 C22.11%$211.78M
4NDX 260918C022500004NDX US 09/18/26 C2250 FLX18.20%$174.35M
WEEKRoundhill Weekly T-Bill ETF5.00%$47.94M
FGXXXFirst American Government Obligations Fund 12/01/20313.53%$33.79M
QDTECash & Other0.13%$1.24M

ETF Exposure

Sector and country composition fields from ETF snapshots where available.

Sector exposure
FieldValue
Cash & Others94.99%
Financial Services5.01%
Country exposure
FieldValue
Other94.97%
United States5.03%

Institutional Holder Snapshot

Latest downstream filing-reported holders and share-count changes for this ETF.

HolderSharesChangeReported
Navis Wealth Advisors, LLC103.21K103.21KJun 30, 2026
MML INVESTORS SERVICES, LLC204.3K96.98KJun 30, 2026
Quadrature Capital Ltd104.92K63.37KJun 30, 2026
RENAISSANCE TECHNOLOGIES LLC28.5K28.5KJun 30, 2026
Ducere Wealth Management LLC17.11K17.11KJun 30, 2026
MATHER GROUP, LLC.6K-40.22KJun 30, 2026
OLD MISSION CAPITAL LLC0-38.77KJun 30, 2026
Fairbanks Capital Management, Inc.0-17.1KJun 30, 2026
HRT FINANCIAL LP0-12.37KJun 30, 2026
IFP Advisors, Inc5.53K-1.53KJun 30, 2026

Current ETF Metrics

ETF-native fields sit beside technical and risk readings for deeper research.

ETF metrics
Expense Ratio
0.97
percentSep 8, 2026
Fund Size
957,929,297
currencySep 8, 2026
Nav
28.83
currency_per_shareSep 8, 2026
Average Volume
128,998
countSep 8, 2026
Distribution Yield
percentSep 8, 2026
Beta
1.27
ratioSep 8, 2026
High52
currency_per_shareSep 8, 2026
Low52
currency_per_shareSep 8, 2026
Technical indicators
Close
28.86
priceSep 8, 2026
Volume
408,378
volumeSep 8, 2026
Rsi14
39.29
indexSep 8, 2026
MACD
-0.19
indexSep 8, 2026
MACD Signal
-0.18
indexSep 8, 2026
MACD Histogram
-0
indexSep 8, 2026
Adx14
23.25
indexSep 8, 2026
Sma50
29.4
priceSep 8, 2026
Sma200
30.53
priceSep 8, 2026
Atr14
0.34
priceSep 8, 2026
Historical Volatility
0.11
percentSep 8, 2026
Volume Ma20
461,305.95
volumeSep 8, 2026
Risk measures
Resilience Score
76
score_0_100Sep 8, 2026
Beta
1.27
ratioSep 8, 2026
Volatility Annual
20.49
percentSep 8, 2026
Max Drawdown
-26.64
percentSep 8, 2026
Sharpe Ratio
-1
ratioSep 8, 2026
Var95
-2.25
percentSep 8, 2026

Additional ETF Metrics

Expanded ETF structure fields appear here when the entitlement and source coverage allow them.

No additional ETF structure metrics are available.

QDTE ETF Data FAQ

What data matters most for QDTE ETF?

QDTE ETF data should be read through fund-native fields such as expense ratio, fund size, NAV, holdings, exposure, distribution yield, liquidity, technicals, and risk measures.

Why does QDTE not show revenue or EPS?

QDTE is an ETF, not an operating company. It does not have company revenue, EPS, margins, or free cash flow; those belong to the underlying holdings, not the fund wrapper.

What does QDTE's expense ratio show?

QDTE's expense ratio is the annual fund cost when available. It should be compared with fund strategy, income profile, liquidity, and exposure.

How should investors read QDTE's holdings data?

QDTE's holdings data shows what the fund owns and how concentrated the portfolio is. Holdings weights and sector exposure explain much of the fund's risk and return behavior.

What does QDTE's distribution yield mean?

QDTE's distribution yield describes the income paid by the ETF over the measured period. It should be read with payout history, fund strategy, fees, and price risk.

Why can ETF profile fields be unavailable?

ETF profile fields can be unavailable when the provider snapshot, serving layer, or entitlement path has not published that field for QDTE. Missing ETF fields should remain blank rather than be inferred from stock fundamentals.