THTA

SoFi Enhanced Yield ETF.

Combining Treasuries and Options-trading to pursue monthly income.

As of 3/16/2026

Monthly

As of 3/31/2026

*The Distribution Rate is the annual yield an investor would receive if the most recently declared distributions, which includes options income, remained the same going forward. The Distribution Rate is calculated by multiplying an ETF’s Distribution per Share by twelve (12), and dividing the resulting amount by the ETF’s most recent NAV. The Distribution Rate represents a single distribution from the ETF and does not represent its total return. The 30-Day SEC Yield represents net investment income, which excludes option income, earned by such ETF over the 30-Day period ended at the most recent month-end, expressed as an annual percentage rate based on such ETF’s share price at the end of the 30-Day period. Distributions are not guaranteed. The distribution may include a combination of ordinary dividends, capital gain, and return of investor capital and has the potential to change during any given tax year. Please refer to the 19a-1 Notice, which can be located on the Fund’s website, regarding the composition of distributions, including return of capital. Final determination of a distribution’s tax character will be made on Form 1099 DIV.

**The Distribution Rate and 30-Day SEC Yield is not indicative of future distributions, if any, on the ETFs. In particular, future distributions on an ETF may differ significantly from its Distribution Rate or 30-Day SZEC Yield. You are not guaranteed a distribution under the ETFs. Distributions for the ETFs (if any) are variable and may vary significantly from month to month and may be zero. Accordingly, the Distribution Rate and 30-Day SEC Yield will change over time, and such change may be significant. The distribution may include a combination of ordinary dividends, capital gain, and return of investor capital, which may decrease a fund’s NAV and trading price over time. As a result, an investor may suffer significant losses to their investment. These distribution rates caused by unusually favorable market conditions may not be sustainable. Such conditions may not continue to exist and there should be no expectation that this performance may be repeated in the future.

What is THTA?

THTA is an alternative investment strategy that takes an approach usually requiring high minimums and reserved for institutions, and democratizes it to work with any size portfolio in an easily accessible ETF.


The strategy seeks to generate income by holding short-duration US Treasuries without material interest rate risk while potentially capturing enhanced income by selling volatility premium using high probability defined risk option spreads.

The core portfolio of treasuries generates income and is used as collateral for the options strategies.

This strategy can potentially generate income across a range of market conditions. Investors can use THTA as a higher-yield product to generate additional uncorrelated yield.



Performance.

Premium Discount Graph
YTD 1m 3m 6m 1Y Inception
Market Price (%)

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available above. Returns less than one year are cumulative. Shares of any ETF are bought and sold at market price (not NAV) and may trade at a discount or premium to NAV. Shares are not individually redeemable from the Fund and may be only be acquired or redeemed from the fund in creation units. Brokerage commissions will reduce returns. Short term performance, in particular, is not a good indication of the fund’s future performance, and an investment should not be made based solely on returns.

  1. High income potential.

    THTA seeks to generate high monthly income by pairing the stability of short-duration U.S. Treasuries with a sophisticated credit spread options strategy designed to capture premium income in various market conditions.

  2. Actively managed.

    The options market is dynamic, and so is THTA. Our team actively adjusts the portfolio to capitalize on shifting volatility, aiming to optimize yield and manage risk more effectively than a passive index.

  3. A diversifier for your portfolio.

    By generating income from volatility premiums rather than equity growth, THTA may provide more diversification to your portfolio by generating returns that don’t move in lockstep with traditional stocks or bonds.

Fund Objective.

THTA seeks current income by combining a strategy of holding U.S. government securities, including U.S. Treasury Bills and U.S. Treasury Bonds, with a “credit spread” option strategy to seek to generate enhanced yield.

Fund details.

as of April 30, 2026

Fund Ticker THTA
Exchange NYSE Arca
Inception Date 11/15/23
Assets Under Management $43,137,042
Total Expense Ratio 0.61%
Median 30-Day Spread* 0.13%
Shares Outstanding 2,775,000
Minimum Initial Investment None
NAV $15.54
Premium / Discount 0.10%
Closing Price $15.56
30-Day SEC Yield (as of 3/31/2026) 3.03%

*30 Day Median Spread is a calculation of Fund’s median bid-ask spread, expressed as a percentage rounded to the nearest hundredth, computed by identifying the Fund’s national best bid and national best offer as of the end of each 10 second interval during each trading day of the last 30 calendar days; dividing the difference between each such bid and offer by the midpoint of the national best bid and national best offer; and identifying the median of those values.

ETF Factsheet SAI Summary Prospectus Statutory Prospectus Proxy Votes Fiscal Q1 Quarterly Holdings Fiscal Q3 Quarterly Holdings 19a1 Notice (payable 12/17/2024) 19a1 Notice (payable 01/21/2025) 19a1 Notice (payable 02/19/2025) Core Financial Statement 08-31-24 Semi-Annual Shareholder Report 08-31-24 19a1 Notice (payable 03/18/2025) 19a1 Notice (payable 04/16/2025) Annual TSR 2.28.25 Annual Core Financial Statements 19a1 Notice (payable 05/16/2025) 19a1 Notice (payable 06/18/2025) 19a1 Notice (payable 07/16/2025) 19a1 Notice (payable 08/18/2025) 19a1 Notice (payable 09/17/2025) 19a1 Notice (payable 10/16/2025) 19a1 Notice (payable 11/18/2025) IntraDay Trades
Distribution Schedule
Declaration Date Ex Date Record Date Payable Date Amount Per Share
1/16/20241/17/20241/18/20241/19/2024$0.1718000
2/14/20242/15/20242/16/20242/20/2024$0.1752
3/14/20243/15/20243/18/20243/19/2024$0.0186
3/21/20243/28/20244/01/20244/02/2024$0.2030
4/15/20244/16/20244/17/20244/18/2024$0.2196
5/14/20245/15/20245/16/20245/17/2024$0.2326
6/14/20246/17/20246/17/20246/18/2024$0.2188
7/15/20247/16/20247/16/20247/17/2024$0.2188
8/14/20248/15/20248/15/20248/16/2024$0.2049
9/16/20249/17/20249/17/20249/18/2024$0.1422
10/14/202410/15/202410/15/202410/16/2024$0.1904
11/14/202411/15/202411/15/202411/18/2024$0.1913
12/16/202412/17/202412/17/202412/18/2024$0.1915
01/16/202501/17/202501/17/202501/21/2025$0.1919
02/14/202502/18/202502/18/202502/19/2025$0.1918
03/14/202503/17/202503/17/202503/18/2025$0.1845
04/14/202504/15/202504/15/202504/16/2025$0.1492
05/14/202505/15/202505/15/202505/16/2025$0.1505
06/16/202506/17/202506/17/202506/18/2025$0.1504
07/14/202507/15/202507/15/202507/16/2025$0.1504
08/14/202508/15/202508/15/202508/18/2025$0.1512
09/15/202509/16/202509/16/202509/17/2025$0.1517
10/14/202510/15/202510/15/202510/16/2025$0.1512
11/14/202511/17/202511/17/202511/18/2025$0.1510
12/15/202512/16/202512/16/202512/17/2025$0.1524
1/15/20261/16/20261/16/20261/20/2026$0.1520
2/11/20262/12/20262/12/20262/13/2026$0.1536
3/13/20263/16/20263/16/20263/17/2026$0.1279
4/15/20264/16/20264/16/20264/17/2026$0.1295



Top ten holdings.

as of 05/04/2026

Portfolio WeightName
21.11%United States Treasury Bill 07/09/2026
20.18%United States Treasury Bill 06/11/2026
19.48%United States Treasury Bill 08/06/2026
18.09%United States Treasury Bill 09/03/2026
16.66%United States Treasury Bill 05/12/2026
4.26%Cash & Other
3.14%SPXW US 05/22/26 P5850
0.56%First American Government Obligations Fund 12/01/2031
0.22%SPXW US 05/22/26 C7800
-0.29%SPXW US 05/22/26 C7750

Holdings are subject to change.

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