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SMCY Holdings Changes

YieldMax SMCI Option Income Strategy ETF
1W: +2.0% 1M: +9.9% 3M: +22.2% YTD: -27.8% 1Y: -63.2%
$5.55
+0.20 (+3.74%)
 
Weekly Expected Move ±7.3%
$5 $5 $6 $6 $6
ETF AMEX · AUM $72.4M
Total Changes (90d)
0
New Holdings
0
Removed Holdings
0
194 changes · Page 1 of 4
Date Holding Name Ticker Change Type Old Value New Value
2026-05-21 SMCI 260515C00034000 SMCI 260515C00034000 Removed -5000 shares —
2026-05-21 SMCI 260515C00032000 SMCI 260515C00032000 Removed 36886 shares —
2026-05-21 912797RG4 912797RG4 Removed 44533000 shares —
2026-05-21 SMCI 260515C00040000 SMCI 260515C00040000 Removed 5000 shares —
2026-05-21 912797RS8 912797RS8 Removed 14535000 shares —
2026-05-21 SMCI 260515C00037000 SMCI 260515C00037000 Removed -5000 shares —
2026-05-21 912797RF6 912797RF6 Removed 41788000 shares —
2026-05-21 SMCI 260515C00038000 SMCI 260515C00038000 Removed 26886 shares —
2026-05-21 SMCI 260515C00036500 SMCI 260515C00036500 Removed 5000 shares —
2026-05-21 912797QX8 912797QX8 Removed 14691000 shares —
2026-05-21 SMCI 260515C00036000 SMCI 260515C00036000 Removed -26886 shares —
2026-05-21 FGXXX FGXXX Removed 3402872 shares —
2026-05-21 2SMCI 260515P00032010 2SMCI 260515P00032010 Removed -36886 shares —
2026-05-21 912797TR8 912797TR8 Removed 7383000 shares —
2026-05-11 SMCI 260515C00036500 SMCI 260515C00036500 New — 5000 shares
2026-05-11 SMCI 260515C00032000 SMCI 260515C00032000 shares 38936 36886
2026-05-11 SMCI 260515C00036000 SMCI 260515C00036000 New — -26886 shares
2026-05-11 SMCI 260515C00037000 SMCI 260515C00037000 New — -5000 shares
2026-05-11 SMCI 260508C00027500 SMCI 260508C00027500 Removed -15436 shares —
2026-05-11 SMCI 260508C00029000 SMCI 260508C00029000 Removed 7500 shares —
2026-05-11 FGXXX FGXXX shares 3543904 3402872
2026-05-11 SMCI 260508C00028500 SMCI 260508C00028500 Removed -16000 shares —
2026-05-11 SMCI 260508C00027000 SMCI 260508C00027000 Removed -7500 shares —
2026-05-11 SMCI 260508C00029500 SMCI 260508C00029500 Removed 15436 shares —
2026-05-11 2SMCI 260515P00032010 2SMCI 260515P00032010 shares -38936 -36886
2026-05-11 SMCI 260508C00030500 SMCI 260508C00030500 Removed 16000 shares —
2026-05-11 SMCI 260515C00034000 SMCI 260515C00034000 New — -5000 shares
2026-05-11 SMCI 260515C00038000 SMCI 260515C00038000 New — 26886 shares
2026-05-11 SMCI 260515C00040000 SMCI 260515C00040000 New — 5000 shares
2026-05-05 FGXXX FGXXX shares 4210164 3543904
2026-05-05 SMCI 260508C00028500 SMCI 260508C00028500 New — -16000 shares
2026-05-05 SMCI 260508C00030500 SMCI 260508C00030500 New — 16000 shares
2026-05-05 SMCI 260501C00027000 SMCI 260501C00027000 Removed -5000 shares —
2026-05-05 SMCI 260501C00028000 SMCI 260501C00028000 Removed -11000 shares —
2026-05-05 SMCI 260501C00029000 SMCI 260501C00029000 Removed 16000 shares —
2026-05-02 SMCI 260424C00030500 SMCI 260424C00030500 Removed 20000 shares —
2026-05-02 912797RG4 912797RG4 shares 50732000 44533000
2026-05-02 SMCI 260424C00029000 SMCI 260424C00029000 Removed -5000 shares —
2026-05-02 2SMCI 260515P00032010 2SMCI 260515P00032010 shares -40336 -38936
2026-05-02 912797QX8 912797QX8 shares 19658000 14691000
2026-05-02 SMCI 260424C00029500 SMCI 260424C00029500 Removed -10336 shares —
2026-05-02 SMCI 260424C00031500 SMCI 260424C00031500 Removed 10336 shares —
2026-05-02 SMCI 260424C00028500 SMCI 260424C00028500 Removed -20000 shares —
2026-05-02 SMCI 260508C00027500 SMCI 260508C00027500 New — -15436 shares
2026-05-02 SMCI 260508C00027000 SMCI 260508C00027000 New — -7500 shares
2026-05-02 SMCI 260424C00030000 SMCI 260424C00030000 Removed 5000 shares —
2026-05-02 SMCI 260515C00032000 SMCI 260515C00032000 shares 40336 38936
2026-05-02 SMCI 260424C00028000 SMCI 260424C00028000 Removed -5000 shares —
2026-05-02 SMCI 260424C00031000 SMCI 260424C00031000 Removed 5000 shares —
2026-05-02 FGXXX FGXXX shares 4210955 4210164

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms