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Watchlist
Account
YieldMax Target 12 Semiconductor Option Income ETF
SOXY
#3054
ETF rank
NZ$39.25 M
Marketcap
๐บ๐ธ US
Market
NZ$112.15
Share price
-2.31%
Change (1 day)
37.22%
Change (1 year)
% Dividend and Income ETFs
๐ฉโ๐ป Technology 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 Target 12 Semiconductor Option Income ETF - Holdings
Etf holdings as of
February 12, 2026
Number of holdings:
112
Full holdings list
Weight %
Name
Ticker
Shares Held
8.05%
NVIDIA Corp
NVDA
10212
6.06%
Broadcom Inc
AVGO
4263
5.88%
ASML Holding NV
ASML
988
4.96%
Lam Research Corp
LRCX
5086
4.34%
Micron Technology Inc
MU
2550
4.33%
Taiwan Semiconductor Manufacturing Co Ltd
TSM
2788
4.19%
KLA CORP
KLAC
683
4.12%
Analog Devices Inc
ADI
2945
4.02%
Applied Materials Inc
AMAT
2854
3.95%
Texas Instruments Inc
TXN
4205
3.93%
ARM Holdings PLC
ARM
7562
3.83%
ACM Research Inc
ACMR
13065
3.79%
Intel Corp
INTC
18944
3.74%
Cadence Design Systems Inc
CDNS
3007
3.68%
NXP Semiconductors NV
NXPI
3554
3.66%
MARVELL TECHNOLOGY INC
MRVL
10846
3.56%
QUALCOMM Inc
QCOM
6083
3.52%
Monolithic Power Systems Inc
MPWR
709
3.31%
Advanced Micro Devices Inc
AMD
3734
3.16%
Lattice Semiconductor Corp
LSCC
7194
2.99%
Synopsys Inc
SNPS
1644
2.87%
Teradyne Inc
TER
2151
2.59%
Microchip Technology Inc
MCHP
7723
2.48%
ASE Technology Holding Co Ltd
ASX
25172
1.86%
United Microelectronics Corp
UMC
43627
1.29%
STMicroelectronics NV
STM
8871
1.18%
ON Semiconductor Corp
ON
3987
0.62%
ACMR US 02/20/26 C60
ACMR 260220C00060000
130
0.52%
Cash & Other
Cash&Other
125828
0.39%
NVDA US 02/20/26 C182.5
NVDA 260220C00182500
98
0.38%
TSM US 02/20/26 C340
TSM 260220C00340000
25
0.33%
LSCC US 02/20/26 C95
LSCC 260220C00095000
71
0.30%
AMAT US 02/20/26 C320
AMAT 260220C00320000
26
0.24%
ARM US 02/20/26 C120
ARM 260220C00120000
75
0.21%
CDNS US 02/20/26 C290
CDNS 260220C00290000
30
0.21%
First American Government Obligations Fund 12/01/2031
FGXXX
50708
0.20%
ACM RESH CLL OPT 03/26 85
ACMR 260320C00085000
130
0.19%
ADI US 02/20/26 C320
ADI 260220C00320000
22
0.19%
TER US 03/20/26 C330
TER 260320C00330000
21
0.16%
ASX US 02/20/26 C22.5
ASX 260220C00022500
251
0.13%
MU US 02/20/26 C420
MU 260220C00420000
23
0.10%
NVIDIA C CLL OPT 03/26 220
NVDA 260320C00220000
98
0.09%
MPWR US 02/20/26 C1100
MPWR 260220C01100000
2
0.08%
KLAC US 02/20/26 C1500
KLAC 260220C01500000
6
0.08%
STM US 02/20/26 C31
STM 260220C00031000
48
0.07%
AVGO US 02/20/26 C360
AVGO 260220C00360000
42
0.07%
LRCX US 02/20/26 C250
LRCX 260220C00250000
45
0.06%
LATTICE CLL OPT 03/26 120
LSCC 260320C00120000
71
0.06%
QCOM US 03/20/26 C150
QCOM 260320C00150000
60
0.05%
ADI US 02/20/26 C325
ADI 260220C00325000
7
0.05%
SNPS US 02/20/26 C450
SNPS 260220C00450000
16
0.05%
TXN US 02/20/26 C230
TXN 260220C00230000
42
0.04%
INTC US 02/20/26 C52.5
INTC 260220C00052500
189
0.04%
MPWR US 02/20/26 C1240
MPWR 260220C01240000
5
0.03%
ASML US 02/20/26 C1520
ASML 260220C01520000
9
0.03%
MCHP US 02/20/26 C80
MCHP 260220C00080000
25
0.03%
NXPI US 02/20/26 C260
NXPI 260220C00260000
35
0.03%
ON US 02/20/26 C70
ON 260220C00070000
25
0.03%
STM US 02/20/26 C34
STM 260220C00034000
40
0.02%
MCHP US 02/20/26 C85
MCHP 260220C00085000
52
0.02%
MRVL US 02/20/26 C76
MRVL 260220C00076000
7
0.02%
TSM US 02/20/26 C355
TSM 260220C00355000
2
0.01%
AMAT US 02/20/26 C360
AMAT 260220C00360000
2
0.01%
AMD US 02/20/26 C240
AMD 260220C00240000
37
0.01%
MRVL US 02/20/26 C95
MRVL 260220C00095000
101
0.01%
ON US 02/20/26 C71
ON 260220C00071000
14
0.01%
UMC US 02/20/26 C13
UMC 260220C00013000
405
0.00%
LRCX US 02/20/26 C265
LRCX 260220C00265000
5
0.00%
MU US 02/20/26 C460
MU 260220C00460000
-2
0.00%
MU US 02/20/26 C480
MU 260220C00480000
2
0.00%
NVDA US 02/20/26 C195
NVDA 260220C00195000
4
0.00%
UMC US 02/20/26 C14
UMC 260220C00014000
31
-0.01%
AMAT US 02/20/26 C350
AMAT 260220C00350000
-2
-0.01%
LRCX US 02/20/26 C255
LRCX 260220C00255000
-5
-0.01%
NVDA US 02/20/26 C190
NVDA 260220C00190000
-4
-0.02%
MRVL US 02/20/26 C75
MRVL 260220C00075000
-7
-0.02%
MRVL US 02/20/26 C90
MRVL 260220C00090000
-101
-0.02%
ON US 02/20/26 C68
ON 260220C00068000
-14
-0.02%
UMC US 02/20/26 C12
UMC 260220C00012000
-436
-0.03%
AMD US 02/20/26 C230
AMD 260220C00230000
-37
-0.03%
TSM US 02/20/26 C345
TSM 260220C00345000
-2
-0.04%
MCHP US 02/20/26 C82.5
MCHP 260220C00082500
-52
-0.05%
MCHP US 02/20/26 C77.5
MCHP 260220C00077500
-25
-0.05%
STM US 02/20/26 C32
STM 260220C00032000
-40
-0.06%
ASML US 02/20/26 C1480
ASML 260220C01480000
-9
-0.06%
SNPS US 02/20/26 C445
SNPS 260220C00445000
-16
-0.07%
ADI US 02/20/26 C315
ADI 260220C00315000
-7
-0.07%
MPWR US 02/20/26 C1200
MPWR 260220C01200000
-5
-0.07%
ON US 02/20/26 C65
ON 260220C00065000
-25
-0.08%
INTC US 02/20/26 C50
INTC 260220C00050000
-189
-0.09%
NXPI US 02/20/26 C250
NXPI 260220C00250000
-35
-0.10%
QCOM US 03/20/26 C145
QCOM 260320C00145000
-60
-0.10%
STM US 02/20/26 C30
STM 260220C00030000
-48
-0.11%
LATTICE CLL OPT 03/26 115
LSCC 260320C00115000
-71
-0.12%
AVGO US 02/20/26 C350
AVGO 260220C00350000
-42
-0.12%
LRCX US 02/20/26 C240
LRCX 260220C00240000
-45
-0.12%
MPWR US 02/20/26 C1060
MPWR 260220C01060000
-2
-0.14%
KLAC US 02/20/26 C1460
KLAC 260220C01460000
-6
-0.15%
TXN US 02/20/26 C220
TXN 260220C00220000
-42
-0.17%
NVDA US 03/20/26 C210
NVDA 260320C00210000
-98
-0.22%
MU US 02/20/26 C400
MU 260220C00400000
-23
-0.22%
TER US 03/20/26 C320
TER 260320C00320000
-21
-0.26%
ACM RESE CLL OPT 03/26 80
ACMR 260320C00080000
-130
-0.27%
ADI US 02/20/26 C310
ADI 260220C00310000
-22
-0.30%
CDNS US 02/20/26 C280
CDNS 260220C00280000
-30
-0.36%
ARM US 02/20/26 C115
ARM 260220C00115000
-75
-0.38%
AMAT US 02/20/26 C310
AMAT 260220C00310000
-26
-0.41%
ASX US 02/20/26 C20
ASX 260220C00020000
-251
-0.47%
NVDA US 02/20/26 C180
NVDA 260220C00180000
-98
-0.47%
TSM US 02/20/26 C330
TSM 260220C00330000
-25
-0.48%
LSCC US 02/20/26 C90
LSCC 260220C00090000
-71
-0.74%
ACMR US 02/20/26 C57.5
ACMR 260220C00057500
-130