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About

Key stats

What’s in the fund

8
Total holdings
United States Treasury Bills 0%
86.15%
Nvda 05/29/2026 189.59 C
21.18%
Nvda 05/29/2026 199.57 C
14.07%
First American Treasury Obligs X
0.25%
OTHER ASSETS AND LIABILITIES
-0.03%
Nvda 05/29/2026 189.59 P
-2.58%
Cash Offset
-4.58%
Nvda 05/29/2026 211.15 C
-14.46%

Returns

Performance
_
Difference
_
Leverage Shares 2x Capped Accelerated NVDA Monthly ETF

Jan

2

Dividends

The last payment date was Jan 2, 2026

Div. per Share

$3.36

Div. Yield

15.59%

Div. Growth YoY

-

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