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10,793
total market cap:
C$189.073 T
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Watchlist
Account
YieldMax Target 12 Big 50 Option Income ETF
BIGY
#3079
ETF rank
C$32.16 M
Marketcap
๐บ๐ธ US
Market
C$67.72
Share price
-0.19%
Change (1 day)
23.64%
Change (1 year)
% Dividend and Income ETFs
Categories
Market cap
Price history
Shares outstanding
Cost to borrow
Premium/Discount
Fees (Expense ratio)
Holdings
More
Cost to borrow
Premium/Discount
Fees (Expense ratio)
Distributions
YieldMax Target 12 Big 50 Option Income ETF - Holdings
Etf holdings as of
April 7, 2026
Number of holdings:
152
Full holdings list
Weight %
Name
Ticker
Shares Held
6.37%
Apple Inc
AAPL
5725
6.11%
NVIDIA Corp
NVDA
8003
4.76%
Alphabet Inc
GOOGL
3693
4.76%
Amazon.com Inc
AMZN
5209
3.66%
Meta Platforms Inc
META
1487
3.47%
Walmart Inc
WMT
6369
3.33%
Microsoft Corp
MSFT
2081
3.14%
JPMORGAN CHASE & CO.
JPM
2477
3.06%
Broadcom Inc
AVGO
2267
2.61%
Tesla Inc
TSLA
1724
2.57%
Exxon Mobil Corp
XOM
3657
2.53%
Chevron Corp
CVX
2956
2.51%
Netflix Inc
NFLX
5915
2.41%
Caterpillar Inc
CAT
777
2.30%
Johnson & Johnson
JNJ
2218
2.25%
Costco Wholesale Corp
COST
514
2.19%
Texas Instruments Inc
TXN
2551
2.09%
GE AEROSPACE
GE
1684
2.05%
Bank of America Corp
BAC
9550
2.04%
Mastercard Inc
MA
947
2.04%
Procter & Gamble Co/The
PG
3332
1.98%
Visa Inc
V
1517
1.95%
Philip Morris International Inc
PM
2824
1.89%
Advanced Micro Devices Inc
AMD
1999
1.85%
Eli Lilly & Co
LLY
465
1.82%
Home Depot Inc/The
HD
1299
1.78%
International Business Machines Corp
IBM
1678
1.33%
Verizon Communications Inc
VZ
6286
1.20%
Merck & Co Inc
MRK
2310
1.15%
PepsiCo Inc
PEP
1701
1.14%
Coca-Cola Co/The
KO
3421
1.11%
Cisco Systems Inc
CSCO
3213
1.06%
McDonald's Corp
MCD
794
1.05%
UnitedHealth Group Inc
UNH
872
1.04%
Amgen Inc
AMGN
708
1.00%
Abbott Laboratories
ABT
2285
0.99%
AbbVie Inc
ABBV
1114
0.99%
Wells Fargo & Co
WFC
2819
0.97%
Morgan Stanley
MS
1358
0.95%
Cash & Other
Cash&Other
221978
0.91%
American Express Co
AXP
693
0.91%
Intuitive Surgical Inc
ISRG
468
0.88%
Adobe Inc
ADBE
836
0.88%
Oracle Corp
ORCL
1407
0.87%
Danaher Corp
DHR
1053
0.87%
QUALCOMM Inc
QCOM
1604
0.85%
Salesforce Inc
CRM
1070
0.83%
Thermo Fisher Scientific Inc
TMO
397
0.82%
ServiceNow Inc
NOW
1873
0.81%
Intuit Inc
INTU
454
0.80%
Blackstone Inc
BX
1657
0.15%
GOOGL US 04/17/26 C295
GOOGL 260417C00295000
36
0.15%
NVDA US 04/17/26 C177.5
NVDA 260417C00177500
80
0.10%
META US 04/17/26 C570
META 260417C00570000
14
0.07%
AMD US 04/17/26 C220
AMD 260417C00220000
19
0.05%
GE US 04/17/26 C290
GE 260417C00290000
16
0.05%
MSFT US 04/17/26 C375
MSFT 260417C00375000
20
0.05%
NFLX US 04/17/26 C104
NFLX 260417C00104000
59
0.04%
First American Government Obligations Fund 12/01/2031
FGXXX
9673
0.04%
JPM US 04/17/26 C305
JPM 260417C00305000
24
0.04%
PHILIP M CLL OPT 05/26 170
PM 260515C00170000
28
0.03%
ELI LILL CLL OPT 05/26 1030
LLY 260515C01030000
4
0.03%
WFC US 04/17/26 C82.5
WFC 260417C00082500
28
0.03%
WMT US 04/17/26 C130
WMT 260417C00130000
63
0.03%
XOM US 04/17/26 C170
XOM 260417C00170000
36
0.02%
AAPL US 04/17/26 C270
AAPL 260417C00270000
57
0.02%
BX US 04/17/26 C115
BX 260417C00115000
16
0.02%
HOME DEP CLL OPT 05/26 355
HD 260515C00355000
12
0.02%
INTUITIV CLL OPT 05/26 490
ISRG 260515C00490000
4
0.02%
ORACLE S CLL OPT 05/26 160
ORCL 260515C00160000
14
0.02%
PROCTER CLL OPT 05/26 150
PG 260515C00150000
33
0.02%
SERVICEN CLL OPT 05/26 120
NOW 260515C00120000
18
0.02%
TSLA US 04/17/26 C375
TSLA 260417C00375000
17
0.01%
ABBOTT L CLL OPT 05/26 110
ABT 260515C00110000
22
0.01%
AMGEN CLL OPT 05/26 375
AMGN 260515C00375000
7
0.01%
AMZN US 04/17/26 C230
AMZN 260417C00230000
52
0.01%
AVGO US 04/17/26 C350
AVGO 260417C00350000
22
0.01%
AXP US 04/17/26 C320
AXP 260417C00320000
6
0.01%
CAT US 04/17/26 C770
CAT 260417C00770000
7
0.01%
CSCO US 04/17/26 C82.5
CSCO 260417C00082500
32
0.01%
CVX US 04/17/26 C210
CVX 260417C00210000
29
0.01%
INTUIT C CLL OPT 05/26 470
INTU 260515C00470000
4
0.01%
MCD US 05/15/26 C325
MCD 260515C00325000
7
0.01%
MRK US 04/17/26 C125
MRK 260417C00125000
23
0.01%
SALESFOR CLL OPT 05/26 210
CRM 260515C00210000
10
0.01%
V US 04/17/26 C312.5
V 260417C00312500
15
0.01%
VERIZON CLL OPT 05/26 52.500
VZ 260515C00052500
62
0.00%
ABBV US 04/17/26 C217.5
ABBV 260417C00217500
11
0.00%
ADBE US 04/17/26 C270
ADBE 260417C00270000
8
0.00%
BAC US 04/17/26 C55
BAC 260417C00055000
95
0.00%
COST US 04/17/26 C1065
COST 260417C01065000
5
0.00%
DHR US 04/17/26 C210
DHR 260417C00210000
10
0.00%
IBM US 04/17/26 C265
IBM 260417C00265000
-16
0.00%
IBM US 04/17/26 C275
IBM 260417C00275000
16
0.00%
JNJ US 04/17/26 C260
JNJ 260417C00260000
22
0.00%
KO US 04/17/26 C80
KO 260417C00080000
-34
0.00%
KO US 04/17/26 C82.5
KO 260417C00082500
34
0.00%
MA US 04/17/26 C540
MA 260417C00540000
9
0.00%
MS US 04/17/26 C185
MS 260417C00185000
13
0.00%
PEP US 04/17/26 C170
PEP 260417C00170000
17
0.00%
QCOM US 04/17/26 C135
QCOM 260417C00135000
-16
0.00%
QCOM US 04/17/26 C140
QCOM 260417C00140000
16
0.00%
TMO US 04/17/26 C520
TMO 260417C00520000
3
0.00%
TXN US 04/17/26 C220
TXN 260417C00220000
25
0.00%
UNH US 04/17/26 C310
UNH 260417C00310000
8
-0.01%
ABBV US 04/17/26 C212.5
ABBV 260417C00212500
-11
-0.01%
ADBE US 04/17/26 C260
ADBE 260417C00260000
-8
-0.01%
AXP US 04/17/26 C310
AXP 260417C00310000
-6
-0.01%
DHR US 04/17/26 C200
DHR 260417C00200000
-10
-0.01%
MA US 04/17/26 C520
MA 260417C00520000
-9
-0.01%
MS US 04/17/26 C175
MS 260417C00175000
-13
-0.01%
PEP US 04/17/26 C165
PEP 260417C00165000
-17
-0.01%
TMO US 04/17/26 C500
TMO 260417C00500000
-3
-0.01%
TXN US 04/17/26 C210
TXN 260417C00210000
-25
-0.01%
UNH US 04/17/26 C300
UNH 260417C00300000
-8
-0.02%
AMGEN CLL OPT 05/26 360
AMGN 260515C00360000
-7
-0.02%
AVGO US 04/17/26 C340
AVGO 260417C00340000
-22
-0.02%
BAC US 04/17/26 C52.5
BAC 260417C00052500
-95
-0.02%
INTUIT C CLL OPT 05/26 450
INTU 260515C00450000
-4
-0.02%
JNJ US 04/17/26 C250
JNJ 260417C00250000
-22
-0.02%
MCD US 05/15/26 C315
MCD 260515C00315000
-7
-0.02%
SALESFOR CLL OPT 05/26 200
CRM 260515C00200000
-10
-0.02%
V US 04/17/26 C307.5
V 260417C00307500
-15
-0.03%
ABBOTT L CLL OPT 05/26 105
ABT 260515C00105000
-22
-0.03%
COST US 04/17/26 C1025
COST 260417C01025000
-5
-0.03%
CSCO US 04/17/26 C80
CSCO 260417C00080000
-32
-0.03%
INTUITIV CLL OPT 05/26 475
ISRG 260515C00475000
-4
-0.03%
MRK US 04/17/26 C120
MRK 260417C00120000
-23
-0.03%
ORACLE S CLL OPT 05/26 155
ORCL 260515C00155000
-14
-0.03%
SERVICEN CLL OPT 05/26 115
NOW 260515C00115000
-18
-0.03%
TSLA US 04/17/26 C370
TSLA 260417C00370000
-17
-0.03%
VERIZON CLL OPT 05/26 50
VZ 260515C00050000
-62
-0.04%
AMZN US 04/17/26 C220
AMZN 260417C00220000
-52
-0.04%
BX US 04/17/26 C110
BX 260417C00110000
-16
-0.04%
CAT US 04/17/26 C740
CAT 260417C00740000
-7
-0.04%
HOME DEP CLL OPT 05/26 340
HD 260515C00340000
-12
-0.04%
WFC US 04/17/26 C80
WFC 260417C00080000
-28
-0.05%
CVX US 04/17/26 C200
CVX 260417C00200000
-29
-0.05%
ELI LILL CLL OPT 05/26 990
LLY 260515C00990000
-4
-0.05%
PROCTER CLL OPT 05/26 145
PG 260515C00145000
-33
-0.05%
XOM US 04/17/26 C165
XOM 260417C00165000
-36
-0.06%
PHILIP M CLL OPT 05/26 165
PM 260515C00165000
-28
-0.07%
GE US 04/17/26 C285
GE 260417C00285000
-16
-0.08%
JPM US 04/17/26 C295
JPM 260417C00295000
-24
-0.08%
MSFT US 04/17/26 C370
MSFT 260417C00370000
-20
-0.09%
NFLX US 04/17/26 C100
NFLX 260417C00100000
-59
-0.09%
WMT US 04/17/26 C125
WMT 260417C00125000
-63
-0.10%
AAPL US 04/17/26 C260
AAPL 260417C00260000
-57
-0.12%
AMD US 04/17/26 C210
AMD 260417C00210000
-19
-0.14%
META US 04/17/26 C560
META 260417C00560000
-14
-0.20%
NVDA US 04/17/26 C175
NVDA 260417C00175000
-80
-0.21%
GOOGL US 04/17/26 C290
GOOGL 260417C00290000
-36