YieldMax Target 12 Real Estate Option Income ETF
RNTY
#3464
ETF rank
NZ$6.39 M
Marketcap
๐Ÿ‡บ๐Ÿ‡ธ US
Market
NZ$85.24
Share price
1.18%
Change (1 day)
N/A
Change (1 year)

YieldMax Target 12 Real Estate Option Income ETF - Holdings

Etf holdings as of February 17, 2026

Number of holdings: 75

Full holdings list

Weight %NameTickerShares Held
6.72%
Welltower IncWELL1229
6.49%
Prologis IncPLD1800
5.72%
Digital Realty Trust IncDLR1219
4.92%
Texas Pacific Land CorpTPL439
4.89%
Simon Property Group IncSPG958
4.68%
St Joe Co/TheJOE2569
4.37%
Equinix IncEQIX176
4.31%
Realty Income CorpO2530
4.03%
AMERICAN TOWER CORPAMT808
3.97%
Extra Space Storage IncEXR1046
3.79%
Public StoragePSA487
3.75%
Iron Mountain IncIRM1317
3.70%
Camden Property TrustCPT1313
3.56%
Equity ResidentialEQR2147
3.54%
Howard Hughes Holdings IncHHH1659
3.42%
CBRE Group IncCBRE926
3.36%
Essex Property Trust IncESS515
3.32%
AvalonBay Communities IncAVB726
3.30%
Crown Castle IncCCI1407
3.27%
Mid-America Apartment Communities IncMAA929
3.07%
Invitation Homes IncINVH4392
3.04%
Sun Communities IncSUI895
2.92%
Equity LifeStyle Properties IncELS1662
2.63%
UDR IncUDR2662
2.45%
SBA Communications CorpSBAC471
2.44%
Independence Realty Trust IncIRT5761
0.90%
First American Government Obligations Fund 12/01/2031FGXXX34652
0.85%
TPL US 02/20/26 C350TPL 260220C003500004
0.50%
WELL US 02/20/26 C195WELL 260220C0019500012
0.32%
IRM US 02/20/26 C100IRM 260220C0010000013
0.25%
AMT US 02/20/26 C180AMT 260220C001800008
0.22%
DLR US 03/20/26 C180DLR 260320C0018000012
0.18%
SPG US 02/20/26 C190SPG 260220C001900009
0.17%
XLRE US 02/20/26 C43XLRE 260220C00043000115
0.14%
EQIX US 03/20/26 C920EQIX 260320C009200001
0.12%
CCI US 03/20/26 C90CCI 260320C0009000014
0.12%
PSA US 02/20/26 C290PSA 260220C002900004
0.07%
PLD US 02/20/26 C140PLD 260220C0014000018
0.07%
SBAC US 02/20/26 C195SBAC 260220C001950004
0.05%
Cash & OtherCash&Other2109
0.05%
MAA US 03/20/26 C140MAA 260320C001400009
0.04%
CPT US 02/20/26 C115CPT 260220C0011500013
0.04%
EXR US 03/20/26 C155EXR 260320C0015500010
0.03%
EQIX US 03/20/26 C1020EQIX 260320C010200001
0.03%
HHH US 03/20/26 C90HHH 260320C0009000016
0.02%
EQR US 03/20/26 C67.5EQR 260320C0006750021
0.02%
SUI US 02/20/26 C135SUI 260220C001350008
0.00%
AVB US 02/20/26 C185AVB 260220C001850007
0.00%
CBRE US 02/20/26 C170CBRE 260220C00170000-9
0.00%
CBRE US 02/20/26 C175CBRE 260220C001750009
0.00%
ESS US 02/20/26 C270ESS 260220C002700005
0.00%
INVH US 02/20/26 C30INVH 260220C0003000043
-0.01%
ESS US 02/20/26 C260ESS 260220C00260000-5
-0.02%
AVB US 02/20/26 C180AVB 260220C00180000-7
-0.03%
INVH US 02/20/26 C27.5INVH 260220C00027500-43
-0.04%
SUI US 02/20/26 C130SUI 260220C00130000-8
-0.05%
EQIX US 03/20/26 C990EQIX 260320C00990000-1
-0.06%
CPT US 02/20/26 C110CPT 260220C00110000-13
-0.06%
EQR US 03/20/26 C65EQR 260320C00065000-21
-0.06%
HHH US 03/20/26 C85HHH 260320C00085000-16
-0.09%
EXR US 03/20/26 C150EXR 260320C00150000-10
-0.09%
MAA US 03/20/26 C135MAA 260320C00135000-9
-0.12%
SBAC US 02/20/26 C190SBAC 260220C00190000-4
-0.20%
EQIX US 03/20/26 C890EQIX 260320C00890000-1
-0.20%
O US 02/20/26 C62.5O 260220C00062500-25
-0.21%
PSA US 02/20/26 C280PSA 260220C00280000-4
-0.24%
CCI US 03/20/26 C85CCI 260320C00085000-14
-0.24%
PLD US 02/20/26 C135PLD 260220C00135000-18
-0.29%
SPG US 02/20/26 C185SPG 260220C00185000-9
-0.33%
DLR US 03/20/26 C175DLR 260320C00175000-12
-0.34%
AMT US 02/20/26 C175AMT 260220C00175000-8
-0.49%
IRM US 02/20/26 C95IRM 260220C00095000-13
-0.65%
WELL US 02/20/26 C190WELL 260220C00190000-12
-0.96%
TPL US 02/20/26 C340TPL 260220C00340000-4
-1.07%
XLRE US 02/20/26 C41XLRE 260220C00041000-115