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WEPN

Nicholas Defense and Rare Earth Income ETF

Last Close
Mar 09  •  04:00PM ET
49.13
Dollar change
+0.56
Percentage change
1.15
%
CategoryTarget Date / Multi-Asset - Other Asset TypeMulti-Asset - Spread Between Asset Classes Tags- Return% 1Y- Total Holdings97 Perf Week-
SponsorXfunds ETF Type Tags- Return% 3Y- AUM6.05M Perf Month-
Fund Family Bond Type Tags- Return% 5Y- NAV/sh Perf Quarter-
Index- Average Maturity Tags- Return% 10Y 52W High50.28 -2.29% Perf Half Y-
Index Weighting Commodity Type Tags- Return% SI 52W Low47.50 3.43% Perf YTD-0.12%
Active/Passive Quant Type Tags- Flows% 1M409.54% Volatility- - Perf Year-
Dividend TTM- ESG Type Tags- Flows% 3M409.54% ATR (14)1.76 Perf 3Y-
Dividend Ex-Date- Dividend Type Sector/Theme Flows% YTD409.54% RSI (14)- Perf 5Y-
Dividend Gr. 3/5Y- - Structure Type Region Flows% 1Y Beta- Perf 10Y-
Expense1.11% Growth/Value SMA200.28% Flows% 3Y Rel Volume0.62 Prev Close48.57
Inverse/Leveraged Market Cap SMA500.28% Flows% 5Y Avg Volume50.90K Price49.13
IPOMar 03, 2026 Option/ShortNo / Yes SMA2000.28% Trades Volume31,405 Change1.15%
The Fund is an actively managed exchange-traded fund ("ETF") that primarily seeks capital appreciation, with a secondary objective of current income. The Fund's strategy includes three components: (i) Equity Portfolio: holding equity shares of companies engaged in national defense, aerospace, intelligence, weapons systems, cybersecurity, defense electronics, and other defense technology applications, as well as companies involved in the producing, refining, and recycling of rare earth and strategic metals and minerals ("Defense and Rare Earth Companies"); (ii) Commodities Portfolio: providing direct and/or indirect exposure to the price returns of select U.S.-listed exchange-traded funds ("ETFs") and/or exchange-traded products (together with ETFs, "Underlying Funds") that seek exposure to strategic metals and minerals, including Aluminum, Copper, Uranium, Lithium, Cobalt , Steel, and Platinum; and (iii) Options Overlay: generating options premiums through an options portfolio (the "Options Strategies"), which involves using options contracts on the individual holdings of the equity portfolio as well as the Underlying Funds (collectively, the "Underlying Securities"). The Fund will also hold cash or U.S. Treasuries as collateral to support the Fund's derivatives transactions.