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TSLY Stock

Profile

Name

YieldMax TSLA Option Income Strategy ETF

Assets under management

$1 billion

Expense ratio

0.99%

Asset class

Equity

Domicile

US

Inception date

November 22, 2022

Net asset value

8250 USD

Last ex-dividend date

October 30, 2025

Next ex-dividend date

N/A

Top holdings

Name
Weight
United States Treasury Bill 02/19/2026(912797PM3)
17.10 %
United States Treasury Bill 04/09/2026(912797SL2)
13.71 %
United States Treasury Bill 11/06/2025(912797QP5)
13.62 %
United States Treasury Bill 07/09/2026(912797RF6)
13.02 %
United States Treasury Bill 08/06/2026(912797RG4)
10.22 %
United States Treasury Note/Bond 3.875% 01/15/2026(91282CGE5)
10.14 %
TSLA US 11/21/25 C415(TSLA 251121C00415000)
6.65 %
Cash & Other(Cash&Other)
4.60 %
TSLA US 11/21/25 C420(TSLA 251121C00420000)
4.42 %
First American Government Obligations Fund 12/01/2031(FGXXX)
2.24 %
TSLA 11/21/2025 415.01 P(2TSLA 251121P00415010)
0.97 %
TSLA 11/21/2025 420.01 P(2TSLA 251121P00420010)
0.79 %
TSLA US 10/31/25 C452.5(TSLA 251031C00452500)
0.60 %
TSLA US 10/31/25 C457.5(TSLA 251031C00457500)
0.49 %
TSLA US 10/31/25 C455(TSLA 251031C00455000)
0.32 %
TSLA US 10/31/25 C475(TSLA 251031C00475000)
0.28 %
TSLA US 10/31/25 C460(TSLA 251031C00460000)
0.22 %
TSLA US 10/31/25 C465(TSLA 251031C00465000)
0.15 %
TSLA US 10/31/25 C467.5(TSLA 251031C00467500)
0.14 %
TSLA US 10/31/25 C462.5(TSLA 251031C00462500)
0.12 %
TSLA US 10/31/25 C477.5(TSLA 251031C00477500)
0.10 %
TSLA US 10/31/25 C482.5(TSLA 251031C00482500)
0.07 %
TSLA US 10/31/25 C480(TSLA 251031C00480000)
0.04 %

Price

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Technical Indicators

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Dividend

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Dividend per share

Dividend yield

Top holdings

Name
Weight
United States Treasury Bill 02/19/2026(912797PM3)
17.10 %
United States Treasury Bill 04/09/2026(912797SL2)
13.71 %
United States Treasury Bill 11/06/2025(912797QP5)
13.62 %
United States Treasury Bill 07/09/2026(912797RF6)
13.02 %
United States Treasury Bill 08/06/2026(912797RG4)
10.22 %
United States Treasury Note/Bond 3.875% 01/15/2026(91282CGE5)
10.14 %
TSLA US 11/21/25 C415(TSLA 251121C00415000)
6.65 %
Cash & Other(Cash&Other)
4.60 %
TSLA US 11/21/25 C420(TSLA 251121C00420000)
4.42 %
First American Government Obligations Fund 12/01/2031(FGXXX)
2.24 %
TSLA 11/21/2025 415.01 P(2TSLA 251121P00415010)
0.97 %
TSLA 11/21/2025 420.01 P(2TSLA 251121P00420010)
0.79 %
TSLA US 10/31/25 C452.5(TSLA 251031C00452500)
0.60 %
TSLA US 10/31/25 C457.5(TSLA 251031C00457500)
0.49 %
TSLA US 10/31/25 C455(TSLA 251031C00455000)
0.32 %
TSLA US 10/31/25 C475(TSLA 251031C00475000)
0.28 %
TSLA US 10/31/25 C460(TSLA 251031C00460000)
0.22 %
TSLA US 10/31/25 C465(TSLA 251031C00465000)
0.15 %
TSLA US 10/31/25 C467.5(TSLA 251031C00467500)
0.14 %
TSLA US 10/31/25 C462.5(TSLA 251031C00462500)
0.12 %
TSLA US 10/31/25 C477.5(TSLA 251031C00477500)
0.10 %
TSLA US 10/31/25 C482.5(TSLA 251031C00482500)
0.07 %
TSLA US 10/31/25 C480(TSLA 251031C00480000)
0.04 %

Analyst ratings

FAQ

  • Does TSLY pay dividends?
  • What stocks are in TSLY?
  • What is the current assets under management for TSLY?
  • What is TSLY average volume?
  • What is TSLY expense ratio?
  • What is TSLY inception date?

Does TSLY pay dividends?

Yes, the YieldMax TSLA Option Income Strategy ETF does pays dividends, with the most recent payment being $0.11 per share. The last ex-dividend date was on October 30, 2025, and the next ex-dividend date has not been announced yet

What stocks are in TSLY?

As of today, YieldMax TSLA Option Income Strategy ETF includes 23 holdings with the most weighted are United States Treasury Bill 02/19/2026 (17.1%), United States Treasury Bill 04/09/2026 (13.71%) and United States Treasury Bill 11/06/2025 (13.62%)

What is the current assets under management for TSLY?

Assets under management of YieldMax TSLA Option Income Strategy ETF is $1B

What is TSLY average volume?

Average volume of YieldMax TSLA Option Income Strategy ETF is $1M

What is TSLY expense ratio?

Expense ratio of YieldMax TSLA Option Income Strategy ETF is 0.99%

What is TSLY inception date?

Inception date of YieldMax TSLA Option Income Strategy ETF is November 22, 2022
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