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Last Close
Feb 06  •  04:00PM ET
26.82
Dollar change
+0.13
Percentage change
0.47
%
CategoryUS Equities - Quant Strat Asset TypeEquities (Stocks) TagsU.S. Return% 1Y5.85% Total Holdings4 Perf Week0.22%
SponsorInnovator Management ETF Type Tagsoptions Return% 3Y- AUM123.35M Perf Month0.19%
Fund Family Bond Type Tagsbuffer Return% 5Y- NAV/sh Perf Quarter1.09%
IndexSPDR S&P 500 ETF Trust Average Maturity TagsSP500 Return% 10Y 52W High26.85 -0.13% Perf Half Y3.09%
Index Weighting Commodity Type Tagsupside-cap Return% SI 52W Low24.45 9.69% Perf YTD0.55%
Active/Passive Quant Type Tagsfixed-period Flows% 1M-1.07% Volatility0.25% 0.35% Perf Year5.85%
Dividend TTM- ESG Type Tags- Flows% 3M49.95% ATR (14)0.09 Perf 3Y-
Dividend Ex-Date- Dividend Type Sector/Theme Flows% YTD1.65% RSI (14)56.28 Perf 5Y-
Dividend Gr. 3/5Y- - Structure Type Region Flows% 1Y Beta0.22 Perf 10Y-
Expense0.79% Growth/Value SMA200.14% Flows% 3Y Rel Volume0.20 Prev Close26.69
Inverse/Leveraged Market Cap SMA500.44% Flows% 5Y Avg Volume43.14K Price26.82
IPONov 01, 2024 Option/ShortNo / Yes SMA2002.47% Trades Volume8,792 Change0.47%
The Fund will invest substantially all of its assets in FLexible EXchange Options ("FLEX Options") on the SPDR S&P 500 ETF Trust (the "Underlying ETF"). FLEX Options are customizable exchange-traded option contracts guaranteed for settlement by the Options Clearing Corporation. The Fund uses FLEX Options to employ a "defined outcome strategy." Defined outcome strategies seek to produce pre-determined investment outcomes based upon the performance of an underlying security or index. The pre-determined outcomes sought by the Fund, which include the buffer and cap discussed below ("Outcomes"), are based upon the performance of the Underlying ETF over an approximately one-year period from November 1 through October 31 of the following year (the "Outcome Period"). The initial Outcome Period is from November 1, 2024 through October 31, 2025. The Fund's strategy has been specifically designed to produce the Outcomes based upon the performance of the Underlying ETF's share price (or its "price return") at the outset to the conclusion of the Outcome Period.