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Buy & Sell YieldMax MSTR Option Income Strategy ETF (MSTY) – YieldMax MSTR Option Income Strategy ETF Price Today

24H
1W
1M
3M
YTD
1Y
5Y

Key Stats

  • Market Cap
    -
  • Sector
    Income / Options Overlay
  • 3M Drawdown
    -35.32%
  • Enterprise Value
    -
  • Dividend Yield
    -
$26
52W Low: $19.63
05 Feb 2026
52W High: $125.7
02 May 2025

Over the past 52 weeks, YieldMax MSTR Option Income Strategy ETF has traded between a low of $19.63 and a high of $125.7, highlighting its annual price range. Over the past three months, YieldMax MSTR Option Income Strategy ETF has recorded a drawdown of -35.32%, reflecting recent price volatility.

About YieldMax MSTR Option Income Strategy ETF

MSTY is an actively managed ETF that pursues a synthetic covered call strategy on MicroStrategy Incorporated (MSTR) stock. The fund primarily sells call options on MSTR and invests in U.S. Treasury securities and other high-quality collateral. Its goal is to generate monthly income from the option premiums. This strategy provides exposure to the volatile, Bitcoin-correlated growth potential of MSTR while seeking to deliver a high yield, though it caps the potential capital appreciation of the stock.


Technical Indicators
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Overall Summary
Bearish (8)Neutral (0)Bullish (15)

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US Stocks risk is managed by PT PG Berjangka which has a license from the Badan Pengawas Perdagangan Berjangka Komoditi (BAPPEBTI), and your investment is guaranteed by the Jakarta Futures Exchange (JFX) and the Indonesian Clearing House (KBI). Read our product’s Terms and Conditions. View Terms and Conditions

Key Stats

  • Market Cap
    -
  • Sector
    Income / Options Overlay
  • 3M Drawdown
    -35.32%
  • Enterprise Value
    -
  • Dividend Yield
    -
$26
52W Low: $19.63
05 Feb 2026
52W High: $125.7
02 May 2025

Over the past 52 weeks, YieldMax MSTR Option Income Strategy ETF has traded between a low of $19.63 and a high of $125.7, highlighting its annual price range. Over the past three months, YieldMax MSTR Option Income Strategy ETF has recorded a drawdown of -35.32%, reflecting recent price volatility.

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