MINY

YieldMax® Strategic Metals & Mining Portfolio Option Income ETF

The YieldMax® Strategic Metals & Mining Portfolio Option Income ETF (MINY) is an actively managed ETF designed to generate current income and capital appreciation through a focused portfolio of approximately 15 to 30 publicly traded strategic metals and mining companies. MINY systematically harvest option premiums by selling call spreads on its portfolio holdings, with the goal of distributing income on a weekly basis, while maintaining direct equity exposure to participate in the potential share price appreciation of the underlying companies. Holdings are evaluated based on liquidity, price levels, and implied volatility, with the portfolio reviewed and adjusted regularly as market conditions evolve.

30.87%

Distribution Rate*

0.23%

30-Day SEC Yield**

As of: 06/11/2026

MINY is an actively managed ETF that seeks current income and capital appreciation via direct investments in a select portfolio of strategic metals and mining companies. MINY aims to distribute such income on a weekly basis.

Investing in the Fund involves a high degree of risk. MINY is subject to all potential losses if the shares of the underlying securities decrease in value, which may not be offset by income received by MINY.

NONE OF THE FUND, THE TRUST, OR TIDAL INVESTMENTS LLC (THE “ADVISER”) IS AFFILIATED, CONNECTED, OR ASSOCIATED WITH ANY UNDERLYING ISSUER.

* The most recent distribution on 06/11/2026 contains 99.36% estimated return of capital and 0.64% income. The Distribution Rate is the annual rate an investor would receive if the most recently declared distribution, which includes option income, remained the same going forward. The Distribution Rate is calculated by annualizing the Fund’s most recent distribution and dividing the resulting amount by the Fund’s most recent NAV. The Distribution Rate represents a single distribution from the ETF and does not represent its total return. Distributions are not guaranteed.

** The 30-Day SEC Yield represents net investment income, which excludes option income, earned by the Fund over the 30-Day period ended at the most recent month-end, expressed as an annual percentage rate based on the Fund’s share price at the end of the 30-Day period.

The Distribution Rate and 30-Day SEC Yield are not indicative of future distributions, if any, from the Fund. In particular, future distributions from the Fund may differ significantly from its Distribution Rate or 30-Day SEC Yield. You are not guaranteed a distribution from the Fund. Accordingly, the Distribution Rate and 30-Day SEC Yield will change over time, and such change may be significant.

Previous distributions have included a combination of ordinary dividends, capital gain, and return of investor capital, which may decrease a fund’s NAV and trading price over time. As a result, an investor may suffer significant losses to their investment.
Please refer to the 19a-1 notices at here for additional details regarding the distributions’ composition, once available.

Performance

Inception Date: 2/26/2026
As of: 5/31/2026

Fund Ticker1 Month3 Month6 MonthYTD1 Year3 Year5 Year10 YearSince Inception Cumulative (02/26/2026)Since Inception Annualized (02/26/2026)
MKT-0.21%-6.12%-5.59%
NAV-0.15%-5.84%-5.44%

As of 3/31/2026

Fund Ticker1 Month3 Month6 MonthYTD1 Year3 Year5 Year10 YearSince Inception Cumulative (02/26/2026)Since Inception Annualized (02/26/2026)
SG CTA Index-0.74%7.52%10.32%7.52%10.13%-1.30%-0.71%

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 (866) 864-3968.

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. Returns beyond 1 year are annualized. A Fund’s NAV is the sum of all its assets less any liabilities, divided by the number of shares outstanding. The market price is the most recent price at which the fund was traded. The fund intends to pay out dividends and interest income, if any, weekly. There is no guarantee these distributions will be made.

Why choose this fund?

1

Weekly Income Potential
The fund seeks to provide consistent weekly income by selling options on companies within the strategic metals and mining sector.

2

Diversified Portfolio
Investors gain exposure to 15 to 30 publicly traded metals and mining companies, selected based on liquidity, volatility, and market opportunity.

3

Growth Opportunity
The strategy seeks to generate income while also capturing capital appreciation potential from a focused portfolio of metals and mining companies.

Fund Details

Fund Inception:
2/26/2026
Ticker:
MINY
Primary Exchange:
NYSE Arca
CUSIP:
88636X252
Gross Expense Ratio:
0.99%
30-Day SEC Yield:*
0.23%

As of 5/31/2026

*The 30-Day SEC Yield is calculated with a standardized formula mandated by the SEC. The formula is based on the maximum offering price per share and does not reflect waivers in effect.

Net Assets:
$5.93M
NAV:
$39.57
Shares Outstanding:
150,000
Premium/Discount Percentage
0.08%
Closing Price:
$39.60
Median 30-Day Spread*:
0.46%

As of 06/11/2026

*30-Day Median Spread is a calculation of Fund’s median bid-ask spread, expressed as a percentage rounded to the nearest hundredth, computed by: identifying the Fund’s national best bid and national best offer as of the end of each 10 second interval during each trading day of the last 30 calendar days; dividing the difference between each such bid and offer by the midpoint of the national best bid and national best offer; and identifying the median of those values.

Distributions

For YieldMax ETFs Distribution Schedules, click here.

DISTRIBUTION PER SHAREDECLARED DATEEX DATERECORD DATEPAYABLE DATEROC
$0.238006/09/202606/10/202606/10/202606/11/202699.36%
$0.258106/02/202606/03/202606/03/202606/04/202699.43%
$0.247305/26/202605/27/202605/27/202605/28/202698.69%
$0.254905/19/202605/20/202605/20/202605/21/202697.46%
$0.272905/12/202605/13/202605/13/202605/14/2026100.00%
$0.260305/05/202605/06/202605/06/202605/07/2026100.00%
$0.266704/28/202604/29/202604/29/202604/30/2026100.00%
$0.273104/21/202604/22/202604/22/202604/23/202699.78%
$0.265404/14/202604/15/202604/15/202604/16/2026100.00%
$0.254104/07/202604/08/202604/08/202604/09/202694.74%
$0.248003/31/202604/01/202604/01/202604/02/20260.00%
$0.237303/24/202603/25/202603/25/202603/26/20260.00%
$0.266603/17/202603/18/202603/18/202603/19/20260.00%
$0.411603/10/202603/11/202603/11/202603/12/20268.49%

*ROC refers to Return of Capital. The figures shown in the table above are estimates and may later be determined to be taxable net investment income, short-term gains, long-term gains (to the extent permitted by law), or return of capital. Please refer to the 19a-1 notices here for additional details regarding the distributions’ composition, once available.

The Distribution Rate is the annual rate an investor would receive if the most recently declared distribution, which includes option income, remained the same going forward. The Distribution Rate is calculated by annualizing the Fund’s most recent distribution and dividing the resulting amount by the Fund’s most recent NAV. The Distribution Rate represents a single distribution from the ETF and does not represent its total return. The 30-Day SEC Yield represents net investment income, which excludes option income, earned by the Fund over the 30-Day period ended at the most recent month-end, expressed as an annual percentage rate based on the Fund’s share price at the end of the 30-Day period. Distributions are not guaranteed.

The Distribution Rate and 30-Day SEC Yield is not indicative of future distributions, if any, from the Fund. In particular, future distributions from the Fund may differ significantly from its Distribution Rate or 30-Day SEC Yield. You are not guaranteed a distribution from the Fund. Accordingly, the Distribution Rate and 30-Day SEC Yield will change over time, and such change may be significant.

The distribution may include a combination of ordinary dividends, capital gain, and return of investor capital, which may decrease the Fund’s NAV and trading price over time. As a result, an investor may suffer significant losses to their investment. 

Top 10 Holdings

As of 06/12/2026
Holdings are subject to change.

SECURITY NAMETICKERCUSIPSHARESMARKET VALUENET ASSETSWEIGHTINGS
First American Government Obligations Fund 12/01/2031FGXXX31846V3361,301,348.301,301,348.305,934,93021.93%
Nucor CorpNUE6703461051,602.00417,961.805,934,9307.04%
Steel Dynamics IncSTLD8581191001,460.00408,143.005,934,9306.88%
Freeport-McMoRan IncFCX35671D8574,173.00276,836.825,934,9304.66%
MP Materials CorpMP5533681014,712.00269,432.165,934,9304.54%
Caterpillar IncCAT149123101300.00269,289.005,934,9304.54%
Albemarle CorpALB0126531011,527.00242,266.195,934,9304.08%
Southern Copper CorpSCCO84265V1051,321.04240,640.655,934,9304.05%
Cameco CorpCCJ13321L1082,407.00238,220.795,934,9304.01%
BHP Group LtdBHP0886061082,617.00230,296.005,934,9303.88%
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