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PLTY ETF Data

Fund Profile · Snapshot Metrics · Exposure · Technicals · Risk

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

PLTY

ETF Data
YieldMax PLTR Option Income Strategy ETF
Financial Services· Asset Management - Income
AIQ Score
NeutralAIQ Edge 2/10
Low Priority
Relative Laggard
Score data as of Sep 8, 2026
Last price
$35.00
-$0.61 (-1.71%)
Latest market quote
Momentum46
Value
Quality43
Risk Resilience39
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 nameYieldMax PLTR Option Income Strategy ETF
IssuerYieldMax
Asset classAlternatives
Primary exposureCash & Others (100.00%)
DomicileUS
Inception dateOct 7, 2024
NAV currencyUSD
CUSIP88636R800
ISINUS88636R8007
Current ETF snapshot
FieldValue
Price$35.00
Fund size$378.49M
Expense ratio1.07%
Holdings count0
NAV$35.54
Average volume101.46K
Distribution yield30.02%
AIQ Score43/100

ETF Holdings

Reported holdings from the latest ETF holder snapshot.

Concentration
71.89%in PLTY's top 5 holdings
  • PLTYUnited States Treasury Note/Bond 2.375% 05/15/202722.42%
  • PLTYUnited States Treasury Bill 12/10/202613.55%
  • PLTYUnited States Treasury Bill 02/18/202712.39%
  • PLTYUnited States Treasury Bill 10/15/202611.95%
  • PLTYUnited States Treasury Bill 07/08/202711.58%
  • Rest of fund28.11%
SymbolHoldingWeightMarket value
PLTYUnited States Treasury Note/Bond 2.375% 05/15/202722.42%$91.7M
PLTYUnited States Treasury Bill 12/10/202613.55%$55.43M
PLTYUnited States Treasury Bill 02/18/202712.39%$50.68M
PLTYUnited States Treasury Bill 10/15/202611.95%$48.89M
PLTYUnited States Treasury Bill 07/08/202711.58%$47.36M
PLTYPLTR US 09/18/26 C13510.35%$42.32M
PLTYCash & Other8.85%$36.2M
PLTYPLTR US 10/16/26 C1703.67%$15.01M
PLTYPLTR 10/16/2026 170.01 P2.28%-$9.31M
PLTYFirst American Government Obligations Fund 12/01/20310.94%$3.85M
PLTYPLTR US 09/11/26 C1700.71%-$2.9M
PLTYPLTR US 09/11/26 C172.50.54%-$2.21M
PLTYPLTR US 09/11/26 C1750.40%$1.63M
PLTYPLTR US 09/11/26 C182.50.10%$431.46K
PLTYPLTR US 09/11/26 C1800.07%-$281.25K
PLTYPLTR US 09/11/26 C177.50.06%-$227.8K
PLTYPLTR 09/18/2026 135.01 P0.05%-$194.01K
PLTYPLTR US 09/11/26 C187.50.04%-$144.23K
PLTYPLTR US 09/11/26 C192.50.03%$130.85K
PLTYPLTR US 09/11/26 C1850.03%$131.25K

ETF Exposure

Sector and country composition fields from ETF snapshots where available.

Sector exposure
FieldValue
Cash & Others100.00%
Country exposure
FieldValue
United States73.95%
Other26.05%

Institutional Holder Snapshot

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

HolderSharesChangeReported
Toroso Investments, LLC1.03M344.38KJun 30, 2026
SUSQUEHANNA INTERNATIONAL GROUP, LLP66.79K66.79KJun 30, 2026
JANE STREET GROUP, LLC54.17K35.15KJun 30, 2026
Kestra Advisory Services, LLC10.39K10.39KJun 30, 2026
Belvedere Trading LLC5.8K5.8KJun 30, 2026
GOLDMAN SACHS GROUP INC0-125KJun 30, 2026
CITADEL ADVISORS LLC11.64K-29.08KJun 30, 2026
UBS Group AG28.74K-12.22KJun 30, 2026
GROUP ONE TRADING, L.P.11.57K-8.21KJun 30, 2026
Merit Financial Group, LLC0-7.06KJun 30, 2026

Current ETF Metrics

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

ETF metrics
Expense Ratio
1.07
percentSep 8, 2026
Fund Size
378,490,000
currencySep 8, 2026
Nav
35.54
currency_per_shareSep 8, 2026
Average Volume
101,456
countSep 8, 2026
Distribution Yield
percentSep 8, 2026
Beta
0.79
ratioSep 8, 2026
High52
currency_per_shareSep 8, 2026
Low52
currency_per_shareSep 8, 2026
Technical indicators
Close
35
priceSep 8, 2026
Volume
436,969
volumeSep 8, 2026
Rsi14
41.18
indexSep 8, 2026
MACD
0.6
indexSep 8, 2026
MACD Signal
1.15
indexSep 8, 2026
MACD Histogram
-0.55
indexSep 8, 2026
Adx14
23.92
indexSep 8, 2026
Sma50
33.58
priceSep 8, 2026
Sma200
39.55
priceSep 8, 2026
Atr14
1.49
priceSep 8, 2026
Historical Volatility
0.38
percentSep 8, 2026
Volume Ma20
284,254.35
volumeSep 8, 2026
Risk measures
Resilience Score
39
score_0_100Sep 8, 2026
Beta
0.79
ratioSep 8, 2026
Volatility Annual
53.57
percentSep 8, 2026
Max Drawdown
-60.78
percentSep 8, 2026
Sharpe Ratio
-0.82
ratioSep 8, 2026
Var95
-5.48
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.

PLTY ETF Data FAQ

What data matters most for PLTY ETF?

PLTY 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 PLTY not show revenue or EPS?

PLTY 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 PLTY's expense ratio show?

PLTY'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 PLTY's holdings data?

PLTY'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 PLTY's distribution yield mean?

PLTY'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 PLTY. Missing ETF fields should remain blank rather than be inferred from stock fundamentals.