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Last Close
May 06  •  04:00PM ET
30.72
Dollar change
+0.23
Percentage change
0.75
%
Category
US Equities - Quant Strat
Asset Type
Equities (Stocks)
Tags
Return% 1Y
19.10%
Total Holdings
5
Perf Week
2.21%
Sponsor
Innovator Management
ETF Type
Tags
Return% 3Y
-
AUM
105.26M
Perf Month
9.06%
Fund Family
Bond Type
Tags
Return% 5Y
-
NAV/sh
Perf Quarter
7.73%
Index
Invesco QQQ Trust
Average Maturity
Tags
Return% 10Y
52W High
30.50 0.69%
Perf Half Y
6.32%
Index Weighting
Commodity Type
Tags
Return% SI
52W Low
25.34 21.21%
Perf YTD
7.02%
Active/Passive
Quant Type
Tags
Flows% 1M
-5.48%
Volatility
0.38% 0.50%
Perf Year
20.97%
Dividend TTM
-
ESG Type
Tags
-
Flows% 3M
-11.14%
ATR (14)
0.22
Perf 3Y
-
Dividend Ex-Date
-
Dividend Type
Sector/Theme
Flows% YTD
-13.18%
RSI (14)
78.14
Perf 5Y
-
Dividend Gr. 3/5Y
- -
Structure Type
Region
Flows% 1Y
Beta
0.67
Perf 10Y
-
Expense
0.79%
Growth/Value
SMA20
3.04%
Flows% 3Y
Rel Volume
0.14
Prev Close
30.49
Inverse/Leveraged
Market Cap
SMA50
6.32%
Flows% 5Y
Avg Volume
26.00K
Price
30.72
IPO
Nov 01, 2024
Option/Short
No / Yes
SMA200
7.58%
Trades
Volume
3,955
Change
0.75%
The Fund will invest substantially all of its assets in FLexible EXchange Options ("FLEX Options") on the Invesco QQQ TrustSM, Series 1 (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's share price over an approximately one-year period from November 1 through October 31 of the following year (the "Outcome Period"). The current Outcome Period is from November 1, 2024 through October 31, 2025. The Fund seeks to provide shareholders that hold Shares for the entire Outcome Period with a buffer (the "Buffer") against the first 15% of Underlying ETF losses during the Outcome Period. "Power" denotes the Fund's objective to provide returns that are buffered by up to 15% if the Underlying ETF's share price experiences a loss during the course of the Outcome Period.