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ETF profile

LFGY — YieldMax Crypto & Tech Option Income Strategy ETF

B
Compare ETFs → income option income

Issued by YieldMax Visit fund page ↗

YTF grades are research-only - not financial advice.

Data as of 2026-06-22 (Tiingo).

$10k income snapshot

What could $10,000 in LFGY do?

Using the current trailing 12-month yield, this is the simple cashflow picture: one position, one estimated average income stream, and one more step toward your freedom number.

Estimated annual income

$7,945

Monthly average

$662

About per month

$662

DRIP framing

At today's price, $10,000 buys about 435.2 shares. If the estimated distributions were reinvested for a year at the same price, DRIP could add roughly 345.7 shares before any market movement.

Think of each $10k as a cashflow block. Stack enough blocks, diversify the roles, and the portfolio starts taking over small monthly bills before it ever replaces a full paycheck.

Educational estimate only - not financial advice or a recommendation. Figures use this ETF's trailing 12-month distributions, latest synced price, and inferred payout cadence from recent data. Actual payments, taxes, prices, distribution timing, and future yields can change.

Last price

$22.98

Trailing 12-mo yield

79.45%

Expense ratio

0.990%

Approx. AUM

$100.00M

Distribution frequency

monthly

YTF grade

B

Score 63.11 / 100

About LFGY

The Fund is an actively managed exchange-traded fund (“ETF”) that seeks (i) to generate cash distributions, and (ii) capital appreciation. The Fund’s strategy involves: (1) constructing a portfolio of U.S.-listed equity securities of Crypto Industry and Technology Companies (each, an “Underlying Security”) (the “Equity Strategy”) and (2) the use of options strategies designed to generate premiums (the “Options Strategies”), which involve using options contracts on Underlying Securities and/or Crypto Industry and Technology ETFs (described below).

The Fund will also maintain a minor allocation to cash or U.S. Treasuries, not exceeding ten percent of its total assets. The Fund does not invest directly in any digital assets (like bitcoin). The Fund does not invest directly in derivatives that track the performance of any digital assets. The Fund does not invest in or seek direct exposure to the current “spot”or cash price of any digital assets. Investors seeking direct exposure to the price of a digital asset should consider an investment other than the Fund.

Equity Strategy The Adviser selects the Crypto Industry and Technology Companies in which the Fund will invest. Crypto Industry and Technology Companies are companies engaged in crypto asset mining, blockchain technology development, crypto asset trading platforms, digital wallet services, decentralized finance (DeFi) platforms, smart contract technology, crypto asset hardware manufacturing, blockchain-as-a-service(Baa S), NFT-related platforms and services, and diversified financial services, payment processing, and technology providers within the crypto industry.

To enable the Fund to effectively implement its Options Strategies, the Adviser evaluates the liquidity ofa potential company’s common stock and the liquidity of its options contracts. The Fund may invest in companies of any market capitalization size. The Adviser will also evaluate price level and implied volatility (i.e., a measure of how much the market believes the price of a stock or other underlying asset will move in the future) when selecting companies for investment and will monitor for these factors when determining whether to select new companies or remove existing companies from the portfolio.

Crypto Industry and Technology Companies may include companies from foreign countries, including emerging markets. Underlying Securities may include depositary receipts, such as American Depositary Receipts (“ADRs”) and Global Depositary Receipts (“GDRs”).The Fund will concentrate its investments (i.e., hold 25% or more of its total assets) in securities of companies with principal business activities in the industry, if any, assigned to Crypto Industry and Technology Companies. The Fund’s equity portfolio will generally be comprised of between fifteen and thirty companies.

Dividends, if any, paid by the Fund’s equity portfolio holdings will contribute to the Fund’s income generation. In addition, the Fund’sequity portfolio may provide capital appreciation. The Fund’s strategy may result in high portfolio turnover on an annual basis. Options Strategies – Seeking Premiums Separately,the Fund employs various options strategies focused on generating premiums. Generally speaking, the Fund sells (writes) options on some or all of the Underlying Securities, receiving premiums from counter parties that pay for the right to buy or sell at aset price.

These premiums are an important driver of the Fund’s distributions. On a weekly basis, the Adviser uses one or more options strategies to seek to generate net premiums (i.e., option premiums received, less option premiums paid). Receipt of an option premium does not always represent income; depending on the outcome of the overall options transaction. Premium levels are influenced by market conditions, particularly volatility, and the Adviser may adjust the Fund’s options strategies depending on the outlook for the Underlying Securities.

While option selling may provide premium opportunities, it may also limit upside gains or increase downside risk. Further, depending on the Adviser’s assessment of one or more of the Underlying Securities’ options contracts (e.g., they are insufficiently liquid or too costly), the Fund may employ Options Strategies using a “Crypto Industry and Technology ETF” (i.e., a passively-managed, U.S.-listed ETF that seeks to track the performance of an index primarily comprised of Crypto Industry and Technology Companies).

The Fund’s options strategies are applied consistently, which for Underlying Securities includes whether they are held directly or through synthetic exposure. The options strategy most frequently utilized by the Fund is called a covered call spread, which is a type of selling credit spread.The Fund uses covered call spreads to earn premium by selling a call option while buying another at a higher strike, with both profit and loss capped.

See the prospectus section titled “Additional Information About the Funds” for a list of the options strategies that the Fund may utilize, together with a description of each options strategy. Distributions may include a significant portion classified as return of capital (“ROC”). ROC generally represents a return of a shareholder’s invested capital rather than traditional income such as dividends or interest. See the prospectus section titled “Additional Information About the Funds” for more information about option premiums and ROC.

Treasuries In addition, the Fund will hold cash or short-term U.S. Treasury securities. These securities serve a dual purpose: providing collateral for the Options Strategies and contributing to the Fund’s income generation. Fund Attributes The Fund is classified as “non-diversified” under the 1940 Act. Under normal circumstances, the Fund will invest at least 80% of the value of its assets, plus borrowings for investment purposes, in the equity securities of Crypto Industry and Technology Companies and in options contracts on Crypto Industry and Technology Companies and on Crypto Industry and Technology ETFs.

For purposes of the foregoing, the Fund defines a “Crypto Industry and Technology Company” as a company that derives 50% or more of its revenue in one or more of the following proprietary sectors: (i) crypto asset mining, (ii) blockchain technology development (e.g., companies providing infrastructure and tools for blockchain networks),(iii) crypto asset trading platforms, (iv) digital wallet providers, (v) decentralized finance (DeFi) platforms, (vi) companies involved in the development of smart contract technology, (vii) manufacturers and distributors of hardware related to crypto asset(e.g., mining rigs, hardware wallets, and other related equipment), (viii) companies providing blockchain-as-a-service (Baa S),(ix) interactive platforms and services related to NFTs (non-fungible tokens), and (x) diversified financial services, payment processing companies, and technology providers involved in the foregoing.

The Fund defines an “Crypto Industry and Technology ETF” as a passively managed U.S.-listed ETF that seeks to track the performance of a Crypto Industry or Technology Index.Lastly, the Fund defines an “Crypto Industry or Technology Index” as a benchmark that tracks the performance of as election of stocks from companies operating in the Crypto Industry and/or technology sectors. There is no guarantee that the Fund’s investment strategy will be properly implemented, and an investor may lose some or all of its investment.

Performance history

Adjusted closing price; splits and distributions are normalized

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Distributions

TTM distributions / share

$18.2567

52 payments in past 12 mo

Avg recent payment

$0.2508

Mean of last 6 payments

Projected annual / share

$3.0090

Avg × 12 payments / yr

Distribution trend

↑ Growing

TTM up 62% YoY

Compares trailing 12-month regular distributions year over year. Special or year-end distributions can cause large single-period swings and are noted where recognised.

Income and DRIP calculator

Model a starting position, optional DRIP, and estimated income

79.45% TTM yield
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Edit the inputs, then calculate to refresh the estimates.

per month

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per year

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target covered

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cashflow blocks

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one-year DRIP estimate

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This is a simple educational model based on current TTM yield and price. It does not forecast price changes, taxes, distribution cuts, or timing of each reinvestment.

Distribution history

Ex-date Pay date Amount / share vs prior
2026-06-17 - $0.2474 +11.8%
2026-06-10 - $0.2212 -16.5%
2026-06-03 - $0.2648 +4.5%
2026-05-27 - $0.2535 -0.2%
2026-05-20 - $0.2541 -3.6%
2026-05-13 - $0.2635 +4.9%
2026-05-06 - $0.2513 +12.8%
2026-04-29 - $0.2228 -13.0%
2026-04-22 - $0.2562 +8.7%
2026-04-15 - $0.2356 +6.9%
2026-04-08 - $0.2203 +8.4%
2026-04-01 - $0.2033 -9.8%
2026-03-25 - $0.2253 -4.9%
2026-03-18 - $0.2369 +2.9%
2026-03-11 - $0.2303 -2.2%
2026-03-04 - $0.2356 +6.7%
2026-02-25 - $0.2209 -3.7%
2026-02-18 - $0.2294 +5.7%
2026-02-11 - $0.2170 -7.8%
2026-02-04 - $0.2353 -14.2%
2026-01-28 - $0.2741 -2.9%
2026-01-21 - $0.2822 -0.5%
2026-01-14 - $0.2835 -1.7%
2026-01-07 - $0.2885 +16.3%
2025-12-31 - $0.2481 -13.4%
2025-12-24 - $0.2866 +2.1%
2025-12-17 - $0.2808 -15.3%
2025-12-10 - $0.3314 -5.3%
2025-12-03 - $0.3498 -4.8%
2025-11-26 - $0.3673 -3.2%
2025-11-19 - $0.3796 -24.8%
2025-11-12 - $0.5046 -8.7%
2025-11-05 - $0.5525 -5.9%
2025-10-29 - $0.5871 +1.5%
2025-10-22 - $0.5785 -0.8%
2025-10-15 - $0.5831 +14.3%
2025-10-09 - $0.5102 +17.4%
2025-10-02 - $0.4344 -15.2%
2025-09-25 - $0.5120 +11.3%
2025-09-18 - $0.4602 +21.6%
2025-09-11 - $0.3784 -14.2%
2025-09-04 - $0.4410 -1.3%
2025-08-28 - $0.4470 +8.3%
2025-08-21 - $0.4127 -8.0%
2025-08-14 - $0.4484 +2.7%
2025-08-07 - $0.4366 -7.8%
2025-07-31 - $0.4737 -2.9%
2025-07-24 - $0.4876 +1.6%
2025-07-17 - $0.4799 -0.4%
2025-07-10 - $0.4817 +3.2%
2025-07-03 - $0.4669 -3.5%
2025-06-26 - $0.4836 +3.2%
2025-06-20 - $0.4684 -0.8%
2025-06-12 - $0.4724 +1.3%
2025-06-05 - $0.4664 -4.9%
2025-05-29 - $0.4906 -0.2%
2025-05-22 - $0.4916 +3.6%
2025-05-15 - $0.4747 -36.8%
2025-05-08 - $0.7511 +59.1%
2025-05-01 - $0.4721 +15.5%
2025-04-24 - $0.4088 -5.1%
2025-04-17 - $0.4307 +3.3%
2025-04-10 - $0.4170 -0.5%
2025-04-03 - $0.4189 -11.8%
2025-03-27 - $0.4749 +0.6%
2025-03-20 - $0.4723 +13.2%
2025-03-13 - $0.4173 -10.0%
2025-03-06 - $0.4637 -14.0%
2025-02-27 - $0.5392 -6.0%
2025-02-20 - $0.5739 +1.7%
2025-02-13 - $0.5642 -10.2%
2025-02-06 - $0.6280 -0.2%
2025-01-30 - $0.6294 -15.8%
2025-01-23 - $0.7473 -

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Expense ratio / issuer / frequency sourced from fund disclosures. AUM is approximate market capitalisation - confirm via fund factsheets. Yield and price data via Tiingo.

Disclaimer

Numbers on this site are for research and educational use only - not individualized investment advice or a recommendation to buy or sell securities. ETFs involve risk including possible loss of principal. Past yield and performance do not predict future results. Yield to Freedom (YTF) grades are illustrative and subjective; verify all data independently.