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PLTY Holdings Changes

YieldMax PLTR Option Income Strategy ETF
1W: +0.3% 1M: +7.3% 3M: +19.8% YTD: -19.7% 1Y: -39.0%
$36.67
-0.17 (-0.46%)
 
Weekly Expected Move ±3.9%
$34 $35 $37 $38 $40
ETF AMEX · AUM $391.4M
Total Changes (90d)
0
New Holdings
0
Removed Holdings
0
304 changes · Page 1 of 7
Date Holding Name Ticker Change Type Old Value New Value
2026-05-21 PLTR 260515C00137000 PLTR 260515C00137000 Removed -14751 shares —
2026-05-21 912797RS8 912797RS8 Removed 44859000 shares —
2026-05-21 912797RG4 912797RG4 Removed 130884000 shares —
2026-05-21 FGXXX FGXXX Removed 11832366 shares —
2026-05-21 PLTR 260515C00146000 PLTR 260515C00146000 Removed 1650 shares —
2026-05-21 2PLTR 260618P00150010 2PLTR 260618P00150010 Removed -12005 shares —
2026-05-21 PLTR 260717C00150000 PLTR 260717C00150000 Removed 13376 shares —
2026-05-21 PLTR 260618C00150000 PLTR 260618C00150000 Removed 12005 shares —
2026-05-21 2PLTR 260717P00150010 2PLTR 260717P00150010 Removed -13376 shares —
2026-05-21 PLTR 260515C00147000 PLTR 260515C00147000 Removed 1000 shares —
2026-05-21 PLTR 260515C00138000 PLTR 260515C00138000 Removed -3480 shares —
2026-05-21 PLTR 260515C00143000 PLTR 260515C00143000 Removed 9206 shares —
2026-05-21 PLTR 260515C00141000 PLTR 260515C00141000 Removed -1650 shares —
2026-05-21 PLTR 260515C00140000 PLTR 260515C00140000 Removed -4500 shares —
2026-05-21 912797RF6 912797RF6 Removed 99457000 shares —
2026-05-21 912797TR8 912797TR8 Removed 19444000 shares —
2026-05-21 912797QX8 912797QX8 Removed 62645000 shares —
2026-05-21 PLTR 260515C00142000 PLTR 260515C00142000 Removed 8025 shares —
2026-05-21 PLTR 260515C00145000 PLTR 260515C00145000 Removed 4500 shares —
2026-05-11 PLTR 260618C00150000 PLTR 260618C00150000 shares 11680 12005
2026-05-11 PLTR 260508C00150000 PLTR 260508C00150000 Removed -4500 shares —
2026-05-11 FGXXX FGXXX shares 13142360 11832366
2026-05-11 PLTR 260508C00146000 PLTR 260508C00146000 Removed -2000 shares —
2026-05-11 PLTR 260515C00141000 PLTR 260515C00141000 New — -1650 shares
2026-05-11 PLTR 260515C00140000 PLTR 260515C00140000 New — -4500 shares
2026-05-11 PLTR 260508C00148000 PLTR 260508C00148000 Removed 1900 shares —
2026-05-11 PLTR 260508C00152500 PLTR 260508C00152500 Removed 6755 shares —
2026-05-11 2PLTR 260618P00150010 2PLTR 260618P00150010 shares -11680 -12005
2026-05-11 PLTR 260508C00145000 PLTR 260508C00145000 Removed -4755 shares —
2026-05-11 PLTR 260508C00155000 PLTR 260508C00155000 Removed 500 shares —
2026-05-11 PLTR 260515C00138000 PLTR 260515C00138000 New — -3480 shares
2026-05-11 PLTR 260515C00137000 PLTR 260515C00137000 New — -14751 shares
2026-05-11 PLTR 260515C00145000 PLTR 260515C00145000 New — 4500 shares
2026-05-11 PLTR 260515C00147000 PLTR 260515C00147000 New — 1000 shares
2026-05-11 2PLTR 260717P00150010 2PLTR 260717P00150010 New — -13376 shares
2026-05-11 PLTR 260515C00146000 PLTR 260515C00146000 New — 1650 shares
2026-05-11 PLTR 260515C00142000 PLTR 260515C00142000 New — 8025 shares
2026-05-11 PLTR 260717C00150000 PLTR 260717C00150000 New — 13376 shares
2026-05-11 PLTR 260508C00149000 PLTR 260508C00149000 Removed 10901 shares —
2026-05-11 PLTR 260508C00142000 PLTR 260508C00142000 Removed -13301 shares —
2026-05-11 PLTR 260515C00150000 PLTR 260515C00150000 Removed 13376 shares —
2026-05-11 PLTR 260508C00157500 PLTR 260508C00157500 Removed 4500 shares —
2026-05-11 2PLTR 260515P00150010 2PLTR 260515P00150010 Removed -13376 shares —
2026-05-11 PLTR 260515C00143000 PLTR 260515C00143000 New — 9206 shares
2026-05-05 PLTR 260508C00152500 PLTR 260508C00152500 shares 5755 6755
2026-05-05 PLTR 260508C00148000 PLTR 260508C00148000 shares 2400 1900
2026-05-05 PLTR 260508C00157500 PLTR 260508C00157500 New — 4500 shares
2026-05-05 FGXXX FGXXX shares 15821776 13142360
2026-05-05 PLTR 260501C00143000 PLTR 260501C00143000 Removed -1000 shares —
2026-05-05 PLTR 260501C00149000 PLTR 260501C00149000 Removed 1000 shares —
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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms