GLDY | The Defiance Gold Enhanced Options Income ETF
$GLDY
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GLDY

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The Defiance Gold Enhanced Options Income ETF

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Distribution Rate *
-%
Payable As of —
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30-Day SEC Yield **
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Seek Income in Gold with Options

GLDY is an actively managed ETF that seeks income while maintaining the opportunity for indirect exposure to the share price of SPDR® Gold Shares (“GLD”), subject to a limit on potential investment gains. GLDY aims to generate additional income from its options investments when GLD’s share price rises in value, based on the specific put options it sells.

GLDY uses an at-the-money or in-the-money put selling strategy to provide income and exposure to the price of GLD. The Fund’s options contracts generate current income from the premiums received through the sale of such options. In addition, the Fund’s in-the-money put options may provide upside appreciation, also known as “intrinsic value.”

At least once a week, the Fund will sell put options that are priced either at-the-money or up to five percent in-the-money. If the Fund sells an option that’s priced above the current market price, the Fund may profit if GLD’s share price increases above its current price, stays flat, or decreases slightly (i.e., the decrease to the Fund is less than the original extrinsic premium received).

At-the-money options: The strike price equals the current market price of the Underlying ETP’s shares.
In-the-money options: The strike price is more favorable than the current market price of the Underlying ETP’s shares.

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. While the ETF seeks to provide monthly income, there is no assurance a distribution will be made. If distributions are made, it is likely such distributions will vary greatly from one distribution to the next.

Fund Details

Data as of 05/13/2025
Net Assets $1.41M
Premium/discount -0.11%
NAV $18.80
Closing Price $18.78
Shares Outstanding 75,000
Median 30 Day Spread 0.74%
Fund inception 04/01/2025
Ticker GLDY
Primary Exchange NASDAQ
CUSIP 88636J394
Fund Holdings 10
NAV Symbol GLDY.NV
Expense Ratio 0.99%
30 Day SEC Yield* --%
* Yield as of 04-30-2025

GLDYMarket Price

Performance

YTD 1 Month 3 Months 6 Months Since Inception
Total Return NAV (%) xx.xx% xx.xx% xx.xx% xx.xx% 0.32%
Market Price (%) xx.xx% xx.xx% xx.xx% xx.xx% 0.63%
1 Year 3 Years 5 Years Since Inception
Total Return (%) xx.xx% xx.xx% xx.xx% xx.xx%
Market Price (%) xx.xx% xx.xx% xx.xx% xx.xx%
The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted. Performance current to the most recent month-end can be obtained by calling 833.333.9383. Short term performance, in particular, is not a good indication of the fund’s future performance, and an investment should not be made based solely on returns. Market price is the price at which shares in the ETF can be brought or sold on the exchanges during trading hours, while the net asset value (NAV) represents the value of each share’s portion of the fund’s underlying assets and cash at the end of the trading day.
Name Symbol Stock price % Net assets Shares Held Market Value
First American Government Obligations Fund 12/01/2031 FGXXX $100.00 39.97% 552,619 $552,619
United States Treasury Bill 06/12/2025 912797LN5 $99.67 10.96% 152,000 $151,501
United States Treasury Bill 08/14/2025 912797PN1 $98.92 10.95% 153,000 $151,343
United States Treasury Bill 05/15/2025 912797LB1 $100.00 10.92% 151,000 $151,000
United States Treasury Note/bond 3% 07/15/2025 91282CEY3 $99.78 10.90% 151,000 $150,664
United States Treasury Note/bond 4.25% 10/15/2025 91282CFP1 $100.01 10.85% 150,000 $150,019
United States Treasury Note/bond 3.875% 01/15/2026 91282CGE5 $99.84 10.83% 150,000 $149,755
United States Treasury Bill 11/06/2025 912797QP5 $98.00 10.70% 151,000 $147,979
Gld Us 05/16/25 P295 GLD 250516P00295000 $2.93 -1.10% -52 $-15,210
Cash & Other Cash&Other $1.00 -14.99% -207,249 $-207,249
Data as of 05/15/2025. Fund holdings are subject to change at any time and should not be considered recommendations to buy or sell any security.
View full holdings
Declaration Date Ex-Div Date Record Date Payable Date Amount ($)
04/30/2025 05/01/2025 05/01/2025 05/02/2025 $0.6066
Distribution Rate *
Payable As of —
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Distribution Frequency Monthly
30-Day SEC Yield **
As of —
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