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Watchlist
Account
YieldMax Semiconductor Portfolio Option Income ETF
CHPY
#1559
ETF rank
โน63.31 B
Marketcap
๐บ๐ธ US
Market
โน6,958
Share price
3.42%
Change (1 day)
111.54%
Change (1 year)
% Dividend and Income ETFs
๐ Semiconductors 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 Semiconductor Portfolio Option Income ETF - Holdings
Etf holdings as of
May 5, 2026
Number of holdings:
104
Full holdings list
Weight %
Name
Ticker
Shares Held
6.98%
Broadcom Inc
AVGO
110519
6.73%
NVIDIA Corp
NVDA
223608
5.85%
MARVELL TECHNOLOGY INC
MRVL
235746
5.32%
Intel Corp
INTC
366582
5.09%
Lam Research Corp
LRCX
129974
4.59%
ARM Holdings PLC
ARM
148991
4.36%
Micron Technology Inc
MU
49865
4.25%
Advanced Micro Devices Inc
AMD
82141
3.89%
ASML Holding NV
ASML
18518
3.84%
ASE Technology Holding Co Ltd
ASX
785787
3.84%
KLA CORP
KLAC
14777
3.73%
STMicroelectronics NV
STM
446055
3.68%
Monolithic Power Systems Inc
MPWR
15428
3.68%
Taiwan Semiconductor Manufacturing Co Ltd
TSM
60480
3.64%
NXP Semiconductors NV
NXPI
82704
3.48%
Analog Devices Inc
ADI
57842
3.43%
Texas Instruments Inc
TXN
80921
3.38%
Microchip Technology Inc
MCHP
233682
3.22%
Applied Materials Inc
AMAT
54350
3.05%
QUALCOMM Inc
QCOM
119505
3.05%
United Microelectronics Corp
UMC
1550492
3.00%
Lattice Semiconductor Corp
LSCC
157772
2.67%
Synopsys Inc
SNPS
35467
2.59%
Teradyne Inc
TER
50553
2.58%
ACM Research Inc
ACMR
332053
2.46%
ON Semiconductor Corp
ON
158788
0.56%
STM US 05/15/26 C46
STM 260515C00046000
3878
0.46%
NXPI US 05/15/26 C250
NXPI 260515C00250000
735
0.27%
UMC US 05/15/26 C12
UMC 260515C00012000
13886
0.23%
LSCC US 05/15/26 C130
LSCC 260515C00130000
1507
0.23%
MPWR US 05/15/26 C1500
MPWR 260515C01500000
132
0.19%
MU US 05/08/26 C565
MU 260508C00565000
476
0.14%
ACMR US 05/08/26 C52
ACMR 260508C00052000
3276
0.13%
QCOM US 05/08/26 C162.5
QCOM 260508C00162500
1125
0.12%
MCHP US 05/08/26 C98
MCHP 260508C00098000
2336
0.10%
INTC US 05/08/26 C100
INTC 260508C00100000
3646
0.09%
AMD US 05/08/26 C362.5
AMD 260508C00362500
817
0.09%
ARM US 05/08/26 C227.5
ARM 260508C00227500
1489
0.09%
Cash & Other
Cash&Other
589240
0.09%
ON US 05/08/26 C108
ON 260508C00108000
1587
0.09%
STM US 05/15/26 C58
STM 260515C00058000
4460
0.08%
MRVL US 05/08/26 C172.5
MRVL 260508C00172500
2357
0.06%
AMAT US 05/08/26 C397.5
AMAT 260508C00397500
536
0.06%
First American Government Obligations Fund 12/01/2031
FGXXX
389401
0.06%
LRCX US 05/08/26 C270
LRCX 260508C00270000
1299
0.05%
SNPS US 05/08/26 C502.5
SNPS 260508C00502500
354
0.04%
AVGO US 05/08/26 C432.5
AVGO 260508C00432500
1105
0.04%
NXPI US 05/15/26 C310
NXPI 260515C00310000
827
0.04%
TSM US 05/08/26 C412.5
TSM 260508C00412500
604
0.03%
UMC US 05/15/26 C14
UMC 260515C00014000
1618
0.02%
ADI US 05/08/26 C412.5
ADI 260508C00412500
578
0.02%
ASML US 05/08/26 C1450
ASML 260508C01450000
182
0.02%
NVDA US 05/08/26 C207.5
NVDA 260508C00207500
2236
0.02%
TER US 05/08/26 C370
TER 260508C00370000
505
0.01%
ASX US 05/15/26 C35
ASX 260515C00035000
1141
0.01%
KLAC US 05/15/26 C2000
KLAC 260515C02000000
147
0.01%
MPWR US 05/15/26 C1740
MPWR 260515C01740000
22
0.01%
QCOM US 05/08/26 C187.5
QCOM 260508C00187500
1195
0.01%
TXN US 05/08/26 C292.5
TXN 260508C00292500
809
0.00%
ACMR US 05/08/26 C54
ACMR 260508C00054000
-44
0.00%
ACMR US 05/08/26 C56
ACMR 260508C00056000
44
0.00%
AMAT US 05/08/26 C405
AMAT 260508C00405000
-7
0.00%
AMAT US 05/08/26 C415
AMAT 260508C00415000
7
0.00%
AMD US 05/08/26 C370
AMD 260508C00370000
-4
0.00%
AMD US 05/08/26 C380
AMD 260508C00380000
4
0.00%
ASML US 05/08/26 C1470
ASML 260508C01470000
-3
0.00%
ASML US 05/08/26 C1510
ASML 260508C01510000
3
0.00%
INTC US 05/08/26 C102
INTC 260508C00102000
-19
0.00%
INTC US 05/08/26 C105
INTC 260508C00105000
19
0.00%
LATTICE CLL OPT 05/26 145
LSCC 260515C00145000
70
0.00%
MICRON T CLL OPT 05/26 595
MU 260508C00595000
-22
0.00%
MICRON T CLL OPT 05/26 607.500
MU 260508C00607500
22
-0.01%
LATTICE CLL OPT 05/26 135
LSCC 260515C00135000
-70
-0.01%
QCOM US 05/08/26 C182.5
QCOM 260508C00182500
-1195
-0.01%
UMC US 05/15/26 C13
UMC 260515C00013000
-1618
-0.02%
MPWR US 05/15/26 C1580
MPWR 260515C01580000
-22
-0.03%
TER US 05/08/26 C360
TER 260508C00360000
-505
-0.04%
TXN US 05/08/26 C285
TXN 260508C00285000
-809
-0.05%
ADI US 05/08/26 C402.5
ADI 260508C00402500
-578
-0.05%
NVDA US 05/08/26 C202.5
NVDA 260508C00202500
-2236
-0.06%
ASML US 05/08/26 C1410
ASML 260508C01410000
-182
-0.07%
KLAC US 05/15/26 C1800
KLAC 260515C01800000
-147
-0.07%
TSM US 05/08/26 C402.5
TSM 260508C00402500
-604
-0.08%
SNPS US 05/08/26 C492.5
SNPS 260508C00492500
-354
-0.10%
AMAT US 05/08/26 C387.5
AMAT 260508C00387500
-536
-0.10%
AVGO US 05/08/26 C422.5
AVGO 260508C00422500
-1105
-0.11%
LRCX US 05/08/26 C262.5
LRCX 260508C00262500
-1299
-0.12%
NXPI US 05/15/26 C290
NXPI 260515C00290000
-827
-0.12%
ON US 05/08/26 C105
ON 260508C00105000
-1587
-0.13%
AMD US 05/08/26 C352.5
AMD 260508C00352500
-817
-0.13%
ARM US 05/08/26 C220
ARM 260508C00220000
-1489
-0.13%
MRVL US 05/08/26 C167.5
MRVL 260508C00167500
-2357
-0.15%
STM US 05/15/26 C55.5
STM 260515C00055500
-4460
-0.16%
INTC US 05/08/26 C97
INTC 260508C00097000
-3646
-0.16%
MCHP US 05/08/26 C95
MCHP 260508C00095000
-2336
-0.18%
ACMR US 05/08/26 C50
ACMR 260508C00050000
-3276
-0.20%
QCOM US 05/08/26 C157.5
QCOM 260508C00157500
-1125
-0.26%
MU US 05/08/26 C550
MU 260508C00550000
-476
-0.34%
ASX US 05/15/26 C30
ASX 260515C00030000
-7857
-0.40%
LSCC US 05/15/26 C115
LSCC 260515C00115000
-1507
-0.43%
UMC US 05/15/26 C11
UMC 260515C00011000
-13886
-0.45%
MPWR US 05/15/26 C1360
MPWR 260515C01360000
-132
-0.79%
NXPI US 05/15/26 C220
NXPI 260515C00220000
-735
-0.84%
STM US 05/15/26 C41
STM 260515C00041000
-3878