Símbolo | Rendimiento del div. en % (indicado) | Precio | Cambio % | Vol * Precio | Volumen relativo | AUM | Rentabilidad total valor liquidativo 3Año (Y) | Ratio de gastos | Clase de activos | Objetivo |
---|---|---|---|---|---|---|---|---|---|---|
MSTYTidal Trust II YieldMax MSTR Option Income Strategy ETF | 180,09% | 27,51 USD | −5,11% | 52,211 M USD | 0,77 | 811,966 M USD | +187,95% | 0,99% | Patrimonio neto | Tecnología de la información |
CONYTidal ETF Trust II YieldMax COIN Option Income Strategy ETF | 169,42% | 12,49 USD | +0,64% | 36,727 M USD | 1,06 | 652,442 M USD | −39,11% | 1,01% | Patrimonio neto | Información financiera |
ULTYTidal Trust II YieldMax Ultra Option Income Strategy ETF | 127,43% | 9,98 USD | +0,81% | 9,936 M USD | 0,99 | 205,257 M USD | −7,72% | 1,14% | Patrimonio neto | Mercado completo |
NVDGraniteShares 2x Short NVDA Daily ETF | 121,41% | 1,35 USD | −3,57% | 45,361 M USD | 1,28 | 2,255 B USD | −93,78% | 1,50% | Patrimonio neto | Tecnología de la información |
IWMYDefiance R2000 Enhanced Options & 0DTE Income ETF | 109,75% | 32,92 USD | +0,58% | 2,536 M USD | 0,63 | 124,841 M USD | +17,53% | 0,99% | Patrimonio neto | Baja capitalización |
AMDYTidal Trust II Yieldmax AMD Option Income Strategy ETF | 91,80% | 12,41 USD | −1,43% | 2,981 M USD | 0,76 | 121,324 M USD | −37,14% | 0,99% | Patrimonio neto | Tecnología de la información |
TSLYYieldMax TSLA Option Income Strategy ETF | 87,63% | 11,92 USD | −0,17% | 27,213 M USD | 0,81 | 826,111 M USD | +1,22% | 1,01% | Patrimonio neto | Consumo discrecional |
QQQYDefiance Nasdaq 100 Enhanced Options & 0DTE Income ETF | 84,27% | 33,26 USD | +0,70% | 4,266 M USD | 0,93 | 191,825 M USD | −7,21% | 0,99% | Patrimonio neto | Alta capitalización |
NVDYTidal ETF Trust II YieldMax NVDA Option Income Strategy ETF | 72,18% | 25,28 USD | +1,69% | 41,843 M USD | 1,05 | 1,242 B USD | +197,64% | 1,01% | Patrimonio neto | Tecnología de la información |
BITOProShares Bitcoin ETF | 65,28% | 18,68 USD | −6,04% | 275,912 M USD | 1,33 | 2,172 B USD | −3,22% | 0,95% | Divisa | Largo Bitcoin, corto USD |
KLIPKraneShares Trust KraneShares China Internet and Covered Call Strategy ETF | 55,72% | 11,46 USD | +0,17% | 1,517 M USD | 0,86 | 127,543 M USD | +12,85% | 0,93% | Patrimonio neto | Esquema |
FBYTidal ETF Trust II YieldMax META Option Income Strategy ETF | 52,31% | 19,37 USD | −1,17% | 2,05 M USD | 0,92 | 128,042 M USD | −3,73% | 0,99% | Patrimonio neto | Servicios de comunicación |
AMZYTidal ETF Trust II YieldMax AMZN Option Income Strategy ETF | 41,12% | 19,75 USD | +5,84% | 36,24 M USD | 7,77 | 178,93 M USD | +43,03% | 1,01% | Patrimonio neto | Consumo discrecional |
YMAXTidal Trust II YieldMax Universe Fund of Option Income ETFs | 34,98% | 16,94 USD | +0,12% | 20,377 M USD | 1,10 | 345,378 M USD | +15,12% | 1,28% | Patrimonio neto | Mercado completo |
YMAGTidal Trust II YieldMax Magnificent 7 Fund of Option Income ETFs | 28,85% | 18,79 USD | +1,08% | 7,45 M USD | 0,72 | 182,671 M USD | +25,70% | 1,28% | Patrimonio neto | Esquema |
FEPIREX FANG & Innovation Equity Premium Income ETF | 26,88% | 50,75 USD | +0,95% | 4,075 M USD | 0,51 | 400,371 M USD | +29,33% | 0,65% | Patrimonio neto | Esquema |
SLVOETRACS Silver Shares Covered Call ETNs due April 21, 2033 | 25,57% | 81,88 USD | −0,93% | 1,818 M USD | 0,60 | 140,281 M USD | +12,63% | 0,65% | Materias primas | Plata |
KCCAKraneShares California Carbon Allowance Strategy ETF | 25,35% | 22,73 USD | +0,13% | 546,316 K USD | 0,83 | 244,035 M USD | +2,67% | 0,87% | Materias primas | Créditos de carbono |
FBLGraniteShares 2x Long META Daily ETF | 24,95% | 31,61 USD | −0,16% | 32,641 M USD | 0,86 | 171,923 M USD | +856,63% | 1,15% | Patrimonio neto | Servicios de comunicación |
QDTERoundhill Innovation-100 0DTE Covered Call Strategy ETF | 23,46% | 41,69 USD | +0,77% | 24,686 M USD | 1,31 | 498,963 M USD | +13,23% | 0,95% | Patrimonio neto | Alta capitalización |
TSLQTradr 2X Short TSLA Daily ETF | 22,85% | 16,33 USD | +0,74% | 91,345 M USD | 0,71 | 102,204 M USD | −64,42% | 1,15% | Patrimonio neto | Consumo discrecional |
USOIETRACS Crude Oil Shares Covered Call ETNs due April 24, 2037 | 21,76% | 64,41 USD | −1,23% | 2,006 M USD | 0,47 | 382,901 M USD | +56,08% | 0,85% | Materias primas | Petróleo crudo |
ENCLGLOBAL X ENHANCED CANADIAN OIL AND UNIT CL A | 18,02% | 19,31 CAD | −1,03% | 1,783 M CAD | 0,57 | 122,982 M USD | −2,12% | 2,82% | Patrimonio neto | Energía |
HPYTHARVEST PREMIUM YIELD TREASURY ETF UNIT CL A | 17,48% | 10,30 CAD | −1,15% | 3,23 M CAD | 1,03 | 368,413 M USD | +87,37% | 1,23% | Renta fija | Grado de inversión |
LQDWiShares Trust iShares Investment Grade Corporate Bond BuyWrite Strategy ETF | 17,13% | 27,25 USD | −0,40% | 1,393 M USD | 0,81 | 212,107 M USD | −1,53% | 0,34% | Renta fija | Grado de inversión |
SVOLSimplify Volatility Premium ETF | 17,07% | 20,90 USD | +0,05% | 17,913 M USD | 0,97 | 1,186 B USD | +23,20% | 1,16% | Alternativas | Volatilidad |
TLTWiShares Trust iShares 20+ Year Treasury Bond BuyWrite Strategy ETF | 15,72% | 25,14 USD | −1,22% | 18,492 M USD | 0,97 | 1,107 B USD | −10,94% | 0,35% | Renta fija | Grado de inversión |
483280KODEX US AI TECH 10 TARGET COVERED CALL | 15,37% | 10.415 KRW | +0,29% | 6,012 B KRW | 1,06 | 247,123 M USD | +9,96% | 0,39% | Patrimonio neto | Esquema |
BANKEVOLVE CDN BKS & LIFE ENHA YLD INX UNHEDGED UNIT | 15,36% | 7,83 CAD | +0,51% | 1,667 M CAD | 1,12 | 202,311 M USD | +14,38% | 1,63% | Patrimonio neto | Información financiera |
475080KODEX TESLA COVERED CALL BALANCED ACTIVE | 15,31% | 9.310 KRW | −0,16% | 917,677 M KRW | 0,45 | 151,58 M USD | +4,83% | 0,39% | Asignación de activos | Resultado objetivo |
XDTERoundhill ETF Trust Roundhill S&P 500 0DTE Covered Call Strategy ETF | 14,82% | 51,56 USD | +0,41% | 6,49 M USD | 0,77 | 197,934 M USD | +14,56% | 0,95% | Patrimonio neto | Alta capitalización |
BITXVolatility Shares Trust 2x Bitcoin Strategy ETF | 14,71% | 32,28 USD | −2,30% | 371,394 M USD | 1,20 | 1,961 B USD | +114,53% | 1,90% | Divisa | Largo Bitcoin, corto USD |
486290TIGER US NASDAQ100 TARGET COVERED CALL | 14,71% | 9.555 KRW | +0,10% | 5,018 B KRW | 0,44 | 370,356 M USD | −3,35% | 0,25% | Patrimonio neto | Alta capitalización |
HMAXHAMILTON CDN FINANCIALS YD MAX ETF UNITS CL E | 14,46% | 14,25 CAD | +0,49% | 3,236 M CAD | 0,73 | 707,372 M USD | −11,66% | 0,92% | Patrimonio neto | Información financiera |
QQQINEOS Nasdaq 100 High Income ETF | 14,37% | 50,98 USD | +0,51% | 8,284 M USD | 0,67 | 552,113 M USD | +13,00% | 0,68% | Patrimonio neto | Alta capitalización |
ENCCGLOBAL X CDN OIL AND GAS EQUITY COV | 14,24% | 10,96 CAD | −0,95% | 1,281 M CAD | 0,67 | 323,366 M USD | +80,91% | 1,08% | Patrimonio neto | Energía |
UMAXHAMILTON UTILS YIELD MAXIMIZER ETF UNIT CL E | 14,09% | 14,55 CAD | −0,24% | 2,711 M CAD | 1,17 | 315,445 M USD | +9,69% | 0,00% | Patrimonio neto | Servicios públicos |
NVDLGraniteShares 2x Long NVDA Daily ETF | 13,70% | 70,38 USD | +3,87% | 1,006 B USD | 0,82 | 5,346 B USD | +1.900,71% | 1,06% | Patrimonio neto | Tecnología de la información |
SURISimplify Exchange Traded Funds Simplify Propel Opportunities ETF | 13,58% | 24,24 USD | +3,92% | 1,653 M USD | 19,74 | 103,175 M USD | −5,05% | 2,51% | Asignación de activos | Resultado objetivo |
HYGWiShares Trust iShares High Yield Corporate Bond BuyWrite Strategy ETF | 13,24% | 32,38 USD | 0,00% | 1,78 M USD | 0,16 | 187,58 M USD | +12,22% | 0,69% | Renta fija | Alta rentabilidad |
EMAXHAMILTON ENERGY YIELD MAXIMIZER ETF UNITS CLASS E | 13,06% | 15,26 CAD | −0,29% | 182,738 K CAD | 0,68 | 102,572 M USD | +3,97% | — | Patrimonio neto | Energía |
RSPSInvesco S&P 500 Equal Weight Consumer Staples ETF | 12,52% | 30,96 USD | +0,17% | 1,641 M USD | 0,43 | 307,544 M USD | +5,94% | 0,40% | Patrimonio neto | Productos de consumo básico |
00731FUH HWA SECURITIES INVESTMENT TST FTSE TAIWAN HIGH DIV LOW VOLATILITY TWD | 12,48% | 72,65 TWD | −0,07% | 129,794 M TWD | 1,69 | 105,635 M USD | +55,33% | 0,85% | Patrimonio neto | Alta capitalización |
BKCCGLOBAL X EQUAL WEIGHT CDN BK COVERE | 12,46% | 14,45 CAD | +0,28% | 26,227 K CAD | 0,18 | 144,28 M USD | +2,22% | 1,05% | Patrimonio neto | Información financiera |
476550TIGER 30Y UST COVERED CALL ACTIVE(H) | 12,43% | 8.985 KRW | −0,99% | 15,182 B KRW | 0,92 | 743,721 M USD | −0,93% | — | Renta fija | Grado de inversión |
KBWDInvesco KBW High Dividend Yield Financial ETF | 12,41% | 14,67 USD | −0,74% | 3,118 M USD | 1,34 | 383,942 M USD | −2,67% | 2,02% | Patrimonio neto | Información financiera |
441680TIGER NASDAQ100 COVERED CALL ETF | 12,32% | 10.575 KRW | −0,42% | 2,111 B KRW | 0,76 | 257,484 M USD | +6,19% | 0,37% | Patrimonio neto | Alta capitalización |
00918UOB ASSET MANAGEMENT (TAIWAN)CO LTD UNITED TAIWAN HIGH DIV REC 30 ETF TWD | 12,27% | 24,13 TWD | +0,33% | 316,195 M TWD | 1,04 | 1,377 B USD | +82,91% | 0,35% | Patrimonio neto | Mercado completo |
RYLDGlobal X Russell 2000 Covered Call ETF | 12,23% | 16,09 USD | +0,56% | 5,673 M USD | 0,64 | 1,409 B USD | −9,40% | 0,60% | Patrimonio neto | Baja capitalización |
00733FUBON ASSET MANAGEMENT CO LTD FUBON TAIWAN CLASS TWDENCY SERIES | 12,04% | 54,05 TWD | +0,56% | 50,368 M TWD | 0,70 | 231,634 M USD | +80,41% | 0,38% | Patrimonio neto | Mercado ampliado |
YYYAmplify High Income ETF | 12,03% | 11,97 USD | +0,42% | 2,219 M USD | 0,69 | 528,871 M USD | −0,57% | 4,60% | Asignación de activos | Resultado objetivo |
QYLDGLOBAL X ETFS ICAV NASDAQ 100 COVERED CALL UCITS ETF USD(GB | 11,98% | 16,914 USD | +0,49% | 512,308 K USD | 0,58 | 267,121 M USD | +36,99% | 0,45% | Patrimonio neto | Alta capitalización |
SPYINEOS S&P 500 High Income ETF | 11,90% | 50,77 USD | +0,36% | 23,209 M USD | 0,80 | 2,124 B USD | +32,40% | 0,68% | Patrimonio neto | Alta capitalización |
YANGDirexion Daily FTSE China Bear 3x Shares | 11,90% | 3,64 USD | −1,36% | 55,792 M USD | 0,47 | 3,69 B USD | −76,87% | 1,09% | Patrimonio neto | Alta capitalización |
HYLDHAMILTON ENHANCED US COVE CALL ETF UNIT UNHEDGED CAD | 11,89% | 13,62 CAD | +0,22% | 1,769 M CAD | 0,72 | 450,182 M USD | −15,93% | 2,48% | Patrimonio neto | Mercado completo |
BONDEVOLVE ENHANCED YIELD BOND FUND UNIT HEDGED CAD | 11,69% | 19,42 CAD | −1,22% | 364,766 K CAD | 0,98 | 123,674 M USD | +8,97% | — | Renta fija | Crédito amplio |
FTQIFirst Trust Nasdaq BuyWrite Income ETF | 11,65% | 20,29 USD | +0,30% | 3,387 M USD | 1,15 | 472,916 M USD | +20,48% | 0,75% | Patrimonio neto | Alta capitalización |
QMAXHAMILTON TECHNOLOGY YIELD MAXIMIZER UNIT CL E | 11,51% | 20,37 CAD | +1,04% | 856,742 K CAD | 0,99 | 285,093 M USD | +42,05% | — | Patrimonio neto | Tecnología de la información |
QYLDGlobal X NASDAQ 100 Covered Call ETF | 11,46% | 18,06 USD | +0,50% | 62,833 M USD | 0,90 | 8,111 B USD | +13,93% | 0,61% | Patrimonio neto | Alta capitalización |
BIZDVanEck BDC Income ETF | 11,46% | 16,08 USD | −1,05% | 11,496 M USD | 1,42 | 1,219 B USD | +28,74% | 13,33% | Patrimonio neto | Información financiera |
PUTWWisdomTree PutWrite Strategy Fund | 11,35% | 32,87 USD | +0,03% | 2,065 M USD | 1,39 | 134,962 M USD | +22,42% | 0,44% | Patrimonio neto | Alta capitalización |
00919CAPITAL INV TRUST CORP CAP TIP CUSTOMIZED TAIWAN SEL HIGH DIV | 11,33% | 23,13 TWD | −0,39% | 1,793 B TWD | 1,37 | 8,715 B USD | +81,82% | 0,60% | Patrimonio neto | Alta rentabilidad por dividendo |
HDIVHAMILTON ENHANCED MLTI SCTR COVE CA EL E UNIT | 10,97% | 17,46 CAD | +0,46% | 1,677 M CAD | 0,75 | 390,263 M USD | +40,23% | 2,64% | Patrimonio neto | Mercado completo |
HBNDHAMILTON US BOND YIELD MAXIMIZER UNITS HEDGED CAD | 10,96% | 14,32 CAD | −1,24% | 485,563 K CAD | 0,58 | 131,997 M USD | +1,39% | — | Renta fija | Grado de inversión |
MORTVanEck Mortgage REIT Income ETF | 10,87% | 11,10 USD | −0,54% | 4,611 M USD | 1,80 | 292,025 M USD | −18,58% | 0,43% | Patrimonio neto | Información financiera |
XCCCBondBloxx CCC-Rated USD High Yield Corporate Bond ETF | 10,87% | 39,08 USD | −1,04% | 900,13 K USD | 0,88 | 104,508 M USD | +29,14% | 0,40% | Renta fija | Alta rentabilidad |
SDIVGlobal X SuperDividend ETF | 10,85% | 21,95 USD | −0,61% | 5,286 M USD | 1,32 | 788,909 M USD | −20,10% | 0,58% | Patrimonio neto | Alta rentabilidad por dividendo |
SDIPGLOBAL X ETFS ICAV SUPERDIVIDEND UCITS ETF USD (GBP) DIS | 10,54% | 6,996 GBP | −0,70% | 806,919 K GBP | 4,20 | 172,676 M USD | −15,46% | 0,45% | Patrimonio neto | Alta rentabilidad por dividendo |
ISPYProShares Trust ProShares S&P 500 High Income ETF | 10,49% | 43,92 USD | −0,52% | 4,013 M USD | 0,85 | 320,549 M USD | +21,79% | 0,55% | Patrimonio neto | Alta capitalización |
QQCCGLOBAL X NASDAQ-100 COVERED CALL ET | 10,44% | 12,36 CAD | +0,82% | 264,393 K CAD | 0,51 | 161,092 M USD | +52,27% | 0,86% | Patrimonio neto | Alta capitalización |
SMAXHAMILTON US EQUITY YIELD MAXIMIZER UNIT CL E | 10,42% | 19,29 CAD | +0,57% | 730,262 K CAD | 1,73 | 372,736 M USD | +33,99% | — | Patrimonio neto | Alta capitalización |
458760TIGER US DIVIDEND TARGET COVERED CALL II | 10,38% | 10.550 KRW | −0,85% | 9,801 B KRW | 0,59 | 541,973 M USD | +6,30% | 0,39% | Patrimonio neto | Alta rentabilidad por dividendo |
00927CAPITAL INV TRUST CORP TIP CSTM TW SEMICONDUCTOR DIV YIELD ETF | 10,36% | 18,10 TWD | −0,22% | 111,339 M TWD | 0,60 | 448,663 M USD | +21,00% | 0,40% | Patrimonio neto | Tecnología de la información |
SPXUProShares UltraPro Short S&P500 | 10,35% | 24,87 USD | −1,15% | 301,678 M USD | 1,54 | 500,277 M USD | −61,78% | 0,89% | Patrimonio neto | Alta capitalización |
00915KGI SECURITIES INVT TST CO LTD TAIWAN PREMIUM SELECTION HIGH DIVIDEND 3 | 10,25% | 26,53 TWD | +0,30% | 324,009 M TWD | 0,94 | 1,005 B USD | +110,16% | 0,34% | Patrimonio neto | Alta rentabilidad por dividendo |
QQAInvesco QQQ Income Advantage ETF | 10,24% | 49,05 USD | +1,22% | 4,553 M USD | 11,34 | 132,022 M USD | −3,35% | 0,00% | Patrimonio neto | Alta capitalización |
USCCGLOBAL X S&P 500 COVERED CALL ETF CL E UNITS (CAD) | 10,20% | 19,17 CAD | +0,58% | 122,573 K CAD | 0,70 | 202,24 M USD | +66,21% | 0,99% | Patrimonio neto | Alta capitalización |
SQQQProShares UltraPro Short QQQ | 10,17% | 7,44 USD | −2,11% | 1,608 B USD | 1,36 | 2,476 B USD | −76,12% | 0,95% | Patrimonio neto | Alta capitalización |
GPIQGoldman Sachs Nasdaq-100 Core Premium Income ETF | 10,11% | 47,66 USD | +0,70% | 3,578 M USD | 1,01 | 244,438 M USD | +32,26% | 0,29% | Patrimonio neto | Alta capitalización |
MFTMACKENZIE FINANCIAL CORP FLOATING RATE INCOME ETF CAD UNIT | 10,06% | 17,02 CAD | −0,76% | 531,398 K CAD | 3,08 | 358,925 M USD | +1,94% | 0,67% | Renta fija | Alta rentabilidad |
HDIFHARVEST DIVERSIFIED MONTHLY INC ETF UNIT CL A | 9,92% | 8,70 CAD | +0,12% | 381,817 K CAD | 0,46 | 296,946 M USD | +14,63% | 2,64% | Patrimonio neto | Alta capitalización |
PBDCPutnam BDC Income ETF | 9,88% | 32,93 USD | −1,08% | 1,135 M USD | 1,10 | 108,831 M USD | +63,78% | 13,94% | Patrimonio neto | Información financiera |
AGGHSimplify Aggregate Bond ETF | 9,81% | 20,60 USD | −0,05% | 1,452 M USD | 0,98 | 249,074 M USD | −1,46% | 0,33% | Renta fija | Grado de inversión |
474220TIGER US TECH TOP10 TARGET COVERED CALL | 9,76% | 12.685 KRW | +0,16% | 17,872 B KRW | 2,31 | 282,958 M USD | +26,62% | 0,50% | Patrimonio neto | Esquema |
JEPQJPMorgan Nasdaq Equity Premium Income ETF | 9,72% | 54,44 USD | −0,26% | 187,157 M USD | 1,01 | 17,845 B USD | +45,38% | 0,35% | Patrimonio neto | Alta capitalización |
0056YUANTA SECURITIES INV TRUST CO LTD P-SHS TW DIVIDEND PLUS EXC | 9,72% | 37,48 TWD | +0,37% | 931,883 M TWD | 0,62 | 10,516 B USD | +48,91% | 0,34% | Patrimonio neto | Alta rentabilidad por dividendo |
LIFEEVOLVE GBL HEALTHCARE ENHNCD YLD FD HEDGED UNITS | 9,67% | 21,10 CAD | +0,62% | 347,369 K CAD | 1,60 | 159,416 M USD | +18,38% | 0,74% | Patrimonio neto | Sanidad |
REMiShares Trust iShares Mortgage Real Estate ETF | 9,66% | 22,30 USD | −0,54% | 10,078 M USD | 1,49 | 643,361 M USD | −21,13% | 0,48% | Patrimonio neto | Información financiera |
RSPAInvesco Actively Managed Exchange-Traded Fund Trus Invesco S&P 500 Equal Weight Income Advantage ETF | 9,38% | 51,24 USD | −0,05% | 7,291 M USD | 33,35 | 267,727 M USD | +4,12% | 0,00% | Patrimonio neto | Alta capitalización |
XYLDGlobal X Funds Global X S&P 500 Covered Call ETF | 9,34% | 41,02 USD | +0,39% | 9,801 M USD | 0,78 | 2,778 B USD | +11,73% | 0,60% | Patrimonio neto | Alta capitalización |
QIDProShares UltraShort QQQ | 9,22% | 36,46 USD | −1,35% | 179,299 M USD | 1,00 | 249,952 M USD | −53,58% | 0,95% | Patrimonio neto | Alta capitalización |
AMAXHAMILTON GOLD PRODUCER YIELD MAXIMI UNITS CLASS E | 9,18% | 21,02 CAD | −0,80% | 221,425 K CAD | 1,02 | 102,923 M USD | +42,81% | — | Patrimonio neto | Materiales |
00929FUH HWA SECURITIES INVESTMENT TST FUH HWA TW TECH DVD HLGT ETF | 9,12% | 18,26 TWD | −0,92% | 4,199 B TWD | 3,11 | 8,794 B USD | +22,80% | 0,78% | Patrimonio neto | Esquema |
00891CTBC INVESTMENTS CO LTD TAIWAN ESG LEADING SEMICONDUCTOR ETF TWD | 8,95% | 18,22 TWD | +0,61% | 220,239 M TWD | 1,63 | 593,379 M USD | +37,20% | 0,44% | Patrimonio neto | Mercado completo |
EL4GDeka EURO STOXX Select Dividend 30 UCITS ETF | 8,92% | 16,592 EUR | +0,84% | 100,763 K EUR | 1,33 | 171,038 M USD | +0,14% | 0,30% | Patrimonio neto | Alta rentabilidad por dividendo |
SRLNSPDR Blackstone Senior Loan ETF | 8,90% | 41,63 USD | −0,50% | 115,185 M USD | 0,67 | 6,556 B USD | +12,76% | 0,70% | Renta fija | Alta rentabilidad |
CLOZSeries Portfolios Trust Panagram BBB-B CLO ETF | 8,89% | 26,92 USD | +0,11% | 6,843 M USD | 1,19 | 407,549 M USD | +26,63% | 0,50% | Renta fija | Crédito amplio |
PFFAVirtus InfraCap U.S. Preferred Stock ETF | 8,89% | 22,55 USD | +0,27% | 12,811 M USD | 1,26 | 1,38 B USD | +11,43% | 2,52% | Renta fija | Crédito amplio |
00878CATHAY SECS INV TRUST CO LTD TAIWAN ESG SUS HGH YLD ETF TWD | 8,83% | 22,85 TWD | +0,35% | 2,367 B TWD | 2,10 | 10,525 B USD | +52,45% | 0,46% | Patrimonio neto | Mercado completo |
IINCOME10XIACTIVELY MANAGED ETF | 8,82% | 1.041 ZAC | +0,39% | 23,644 M ZAC | 0,20 | 4,253 B USD | +3,65% | 0,52% | Asignación de activos | Resultado objetivo |