DailyDelta Q100 Downside Option Strategy ETF

DailyDelta Q100 Downside Option Strategy ETF

ETF · US8627852010 (XASE)
Overview
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Share Float & Liquidity
Free Float -
Shares Float -
Shares Outstanding 10.003,00
Company Profile for DailyDelta Q100 Downside Option Strategy ETF ETF
QDWN aims for capital appreciation while limiting single-day risk. The fund seeks inverse exposure to the Nasdaq-100 Index's daily downside by investing in cash-settled, exchange-traded put options that typically have a short time to expiration (i.e., one week or less). Under normal market conditions, the fund purchases closest to at-the-money options contracts with daily expiration. On days when the Nasdaq-100 Index is flat or positive, the fund limits downside risk to 10% or less of its net asset value (NAV), setting a daily option loss limit equal to the amount spent on option premiums. The remaining 90% is held in short-term US Treasury securities, with an average portfolio effective duration of approximately six months. The fund is actively managed and does not invest directly in the Nasdaq-100 Index nor in companies that it comprises. Thus, the funds performance will differ from that of the index.

Company Data

Name DailyDelta Q100 Downside Option Strategy ETF
Company DailyDelta Q100 Downside Option Strategy ETF
Website https://dailydeltaetfs.com/qdwn
Primary Exchange XASE AMEX
ISIN US8627852010
Asset Class ETF
Sector Financial Services
Industry Asset Management
Country United States of America
Currency USD
Employees -
Address 7887 East Belleview Ave, Suite 1100, Denver, CO 80111, 80111 Denver
IPO Date 2025-03-10
Dividends from 'DailyDelta Q100 Downside Option Strategy ETF'
Ex-Date Dividend per Share
01.12.2025 0,004 USD
23.06.2025 0,23 USD

Ticker Symbols

Name Symbol
AMEX QDWN
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