RETURN STACKED®

RSSX

U.S. Stocks & Gold/Bitcoin

Why invest in RSSX ETF?

For every $1 invested, RSSX is designed to provide $1 of large-cap U.S. equity exposure and $1 of a Gold/Bitcoin strategy.

01 // The Case

Investment Case

Capital Efficiency: Aims to provide simultaneous exposure to U.S. stocks, Gold, and Bitcoin.  For every $1 invested, RSSX is designed to provide $1 of exposure to U.S. equities and $1 of a Gold/Bitcoin strategy.

Diversification: RSSX seeks to provide exposure to Gold and Bitcoin via a Gold/Bitcoin strategy, two assets which have historically exhibited low correlations to traditional assets.

Hard Asset Theme: RSSX incorporates Gold and Bitcoin via a Gold/Bitcoin, offering access to assets that share characteristics often associated with scarcity and store-of-value potential.

Diversification does not assure a profit.

02 // Objective

Fund
Overview

The Fund seeks long-term capital appreciation by investing in two complementary investment strategies: a U.S. equity strategy and a Gold/Bitcoin strategy. For every $1 invested, the Fund attempts to provide $1 of exposure to its U.S. equity strategy and $1 of exposure to its Gold/Bitcoin strategy.

The U.S. equity strategy seeks to capture the total return of large-cap U.S. investing in large-cap U.S. equities, large-cap U.S. equity ETFs, or U.S. equity index futures.

The Gold/Bitcoin strategy seeks to provide strategic exposure to both Gold and Bitcoin (by investing in Gold and Bitcoin futures or ETFs) where each asset contributes an equal amount of risk to the portfolio.

Leverage Risk. As part of the Fund’s principal investment strategy, the Fund will make investments in futures contracts. These derivative instruments provide the economic effect of financial leverage by creating additional investment exposure to the underlying instrument, as well as the potential for greater loss. You could lose all or substantially all of your investment in the Fund should the Fund’s trading positions suddenly turn unprofitable. The net asset value of the Fund while employing leverage will be more volatile and sensitive to market movements.

05 // Information

Fund FAQs

RSSX rebalances daily

The U.S. equity strategy within RSSX can hold U.S. equities, U.S. equity ETFs, and U.S. equity index futures, or any combination thereof.

For example, RSSX may hold 75% in a large-cap U.S. equity ETF and gain the remaining 25% equity exposure through U.S. equity index futures.

  • 75% iShares S&P 500 ETF (“IVV”)
  • 25% S&P 500 E-Mini Futures Contract

The Gold/Bitcoin strategy within RSSX can invest in Gold ETFs and ETPs, Bitcoin ETFs and ETPs, Gold futures, and/or Bitcoin futures.

It is expected that RSSX will predominately get its exposure to Gold through futures and to Bitcoin through a mixture of ETFs, ETPs, and futures. 

The strategy employs a risk parity framework designed to balance the contribution of volatility from both Gold and Bitcoin.

The allocation between Gold and Bitcoin will be dynamically adjusted so that each asset contributes equally to the overall portfolio risk.

This means that the Gold/Bitcoin strategy will typically allocate a larger percentage of its assets to the asset class with lower forecasted volatility (i.e., the asset class with smaller price fluctuations over time).

Distributions, if any, are expected to be made annually at the end of each calendar year.

06 // Information

Fund
Details

Fund Details

*The 30-Day Yield represents net investment income earned by the Fund over the 30-Day period ended on the date indicated by the Yield, expressed as an annual percentage rate based on the Fund’s share price at the end of the 30-Day period. The 30-Day unsubsidized SEC Yield does not reflect any fee waivers/reimbursements/limits in effect.

Fund Data & Pricing

Net Assets 991,282.03
NAV 19.83
Shares Outstanding 50,000
Premium/discount Percentage 0.33
Closing Price -0.11
Median 30 Day Spread** 0.20
Name
05/30/2025

**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.

Top 10 Holdings

Date Account StockTicker Security Name CUSIP Shares Price MarketValue Weightings NetAssets SharesOutstanding CreationUnits MoneyMarketFlag
06/02/2025 RSBA AVDX AvidXchange Holdings Inc 05368X102 218801 9.79 2142061.79 11.27 19014670 925000 37
06/02/2025 RSBA AZEK AZEK Co Inc/The 05478C105 46969 49.51 2325435.19 12.23 19014670 925000 37
06/02/2025 RSBA DNB Dun & Bradstreet Holdings Inc 26484T106 261321 9.01 2354502.21 12.38 19014670 925000 37
06/02/2025 RSBA FARO FARO Technologies Inc 311642102 18008 42.37 762998.96 4.01 19014670 925000 37
06/02/2025 RSBA FGXXX First American Government Obligations Fund 12/01/2031 31846V336 3647461.29 100 3647461.29 19.18 19014670 925000 37 Y
06/02/2025 RSBA FVU5 Comdty US 5YR NOTE (CBT) Sep25 FVU5 COMDTY 44 108.1875 4760250 25.03 19014670 925000 37
06/02/2025 RSBA FYBR Frontier Communications Parent Inc 35909D109 64151 36.23 2324190.73 12.22 19014670 925000 37
06/02/2025 RSBA JHX James Hardie Industries PLC 47030M106 -48258 23.3 -1124411.4 -5.91 19014670 925000 37
06/02/2025 RSBA SKX Skechers USA Inc 830566105 38773 62.04 2405476.92 12.65 19014670 925000 37
06/02/2025 RSBA TUU5 Comdty US 2YR NOTE (CBT) Sep25 TUU5 COMDTY 23 103.71875 4771062.5 25.09 19014670 925000 37
06/02/2025 RSBA TYU5 Comdty US 10YR NOTE (CBT)Sep25 TYU5 COMDTY 43 110.75 4762250 25.05 19014670 925000 37
06/02/2025 RSBA USU5 Comdty US LONG BOND(CBT) Sep25 USU5 COMDTY 42 112.78125 4736812.5 24.91 19014670 925000 37
06/02/2025 RSBA WBA Walgreens Boots Alliance Inc 931427108 211706 11.25 2381692.5 12.53 19014670 925000 37
06/02/2025 RSBA Cash&Other Cash & Other Cash&Other 1795335.65 1 1795335.65 9.44 19014670 925000 37 Y
06/02/2025 RSBT ADM5 Curncy AUDUSD Crncy Fut Jun25 ADM5 CURNCY 8 64.435 515480 0.68 75626450 4775000 191
06/02/2025 RSBT AGG iShares Core U.S. Aggregate Bond ETF 464287226 386060 97.778774 37748473.49 49.91 75626450 4775000 191
06/02/2025 RSBT BPM5 Curncy BP CURRENCY FUT Jun25 BPM5 CURNCY 199 134.7 16753312.5 22.15 75626450 4775000 191
06/02/2025 RSBT CDM5 Curncy C$ CURRENCY FUT Jun25 CDM5 CURNCY 15 72.955 1094325 1.45 75626450 4775000 191
06/02/2025 RSBT CLN5 Comdty WTI CRUDE FUTURE Jul25 CLN5 COMDTY -15 60.79 -911850 -1.21 75626450 4775000 191
06/02/2025 RSBT COQ5 Comdty BRENT CRUDE FUTR Aug25 COQ5 COMDTY -15 62.78 -941700 -1.24 75626450 4775000 191
06/02/2025 RSBT ECM5 Curncy EURO FX CURR FUT Jun25 ECM5 CURNCY 139 1.137 19755375 26.12 75626450 4775000 191
06/02/2025 RSBT ESM5 Index S&P500 EMINI FUT Jun25 ESM5 INDEX 3 5916 887400 1.17 75626450 4775000 191
06/02/2025 RSBT FGXXX First American Government Obligations Fund 12/01/2031 31846V336 29977755.82 100 29977755.82 39.63 75626450 4775000 191 Y
06/02/2025 RSBT FVU5 Comdty US 5YR NOTE (CBT) Sep25 FVU5 COMDTY 176 108.1875 19041000 25.17 75626450 4775000 191
06/02/2025 RSBT G U5 Comdty LONG GILT FUTURE Sep25 G U5 COMDTY -55 91.48 -6785068.91 -8.97 75626450 4775000 191
06/02/2025 RSBT GCQ5 Comdty GOLD 100 OZ FUTR Aug25 GCQ5 COMDTY 22 3315.4 7293880 9.64 75626450 4775000 191
06/02/2025 RSBT GXM5 Index DAX INDEX FUTURE Jun25 GXM5 INDEX 13 24045 8871585.72 11.73 75626450 4775000 191
06/02/2025 RSBT HGN5 Comdty COPPER FUTURE Jul25 HGN5 COMDTY 15 467.75 1754062.5 2.32 75626450 4775000 191
06/02/2025 RSBT HON5 Comdty NY Harb ULSD Fut Jul25 HON5 COMDTY -8 200.54 -673814.4 -0.89 75626450 4775000 191
06/02/2025 RSBT JYM5 Curncy JPN YEN CURR FUT Jun25 JYM5 CURNCY 56 69.615 4873050 6.44 75626450 4775000 191
06/02/2025 RSBT NGN25 Comdty NATURAL GAS FUTR Jul25 NGN25 COMDTY 3 3.447 103410 0.14 75626450 4775000 191
06/02/2025 RSBT NQM5 Index NASDAQ 100 E-MINI Jun25 NQM5 INDEX 3 21376.75 1282605 1.70 75626450 4775000 191
06/02/2025 RSBT NXM5 Index NIKKEI 225 (CME) Jun25 NXM5 INDEX 3 37725 565875 0.75 75626450 4775000 191
06/02/2025 RSBT PTM5 Index S&P/TSX 60 IX FUT Jun25 PTM5 INDEX 17 1568 3877377.36 5.13 75626450 4775000 191
06/02/2025 RSBT QSN5 Comdty Low Su Gasoil G Jul25 QSN5 COMDTY -21 590.75 -1240575 -1.64 75626450 4775000 191
06/02/2025 RSBT RXM5 Comdty EURO-BUND FUTURE Jun25 RXM5 COMDTY 21 131.21 3128090.73 4.14 75626450 4775000 191
06/02/2025 RSBT SIN5 Comdty SILVER FUTURE Jul25 SIN5 COMDTY 8 33.029 1321160 1.75 75626450 4775000 191
06/02/2025 RSBT TUU5 Comdty US 2YR NOTE (CBT) Sep25 TUU5 COMDTY 181 103.71875 37546187.5 49.64 75626450 4775000 191
06/02/2025 RSBT TYU5 Comdty US 10YR NOTE (CBT)Sep25 TYU5 COMDTY 75 110.75 8306250 10.98 75626450 4775000 191
06/02/2025 RSBT USU5 Comdty US LONG BOND(CBT) Sep25 USU5 COMDTY 59 112.78125 6654093.75 8.80 75626450 4775000 191
06/02/2025 RSBT VGM5 Index EURO STOXX 50 Jun25 VGM5 INDEX 52 5368 3168903.12 4.19 75626450 4775000 191
06/02/2025 RSBT XBN5 Comdty GASOLINE RBOB FUT Jul25 XBN5 COMDTY -10 201.51 -846342 -1.12 75626450 4775000 191
06/02/2025 RSBT Z M5 Index FTSE 100 IDX FUT Jun25 Z M5 INDEX 52 8781.5 6157968.55 8.14 75626450 4775000 191
06/02/2025 RSBT Cash&Other Cash & Other Cash&Other 7913434.35 1 7913434.35 10.46 75626450 4775000 191 Y
06/02/2025 RSBY ADM5 Curncy AUDUSD Crncy Fut Jun25 ADM5 CURNCY -115 64.435 -7410025 -7.63 97120000 6250000 250
06/02/2025 RSBY AGG iShares Core U.S. Aggregate Bond ETF 464287226 496625 97.778774 48559383.64 49.99 97120000 6250000 250
06/02/2025 RSBY BPM5 Curncy BP CURRENCY FUT Jun25 BPM5 CURNCY -132 134.7 -11112750 -11.44 97120000 6250000 250
06/02/2025 RSBY CDM5 Curncy C$ CURRENCY FUT Jun25 CDM5 CURNCY -426 72.955 -31078830 -31.99 97120000 6250000 250
06/02/2025 RSBY CLN5 Comdty WTI CRUDE FUTURE Jul25 CLN5 COMDTY 43 60.79 2613970 2.69 97120000 6250000 250
06/02/2025 RSBY COQ5 Comdty BRENT CRUDE FUTR Aug25 COQ5 COMDTY -32 62.78 -2008960 -2.07 97120000 6250000 250
06/02/2025 RSBY ECM5 Curncy EURO FX CURR FUT Jun25 ECM5 CURNCY -133 1.137 -18902625 -19.46 97120000 6250000 250
06/02/2025 RSBY ESM5 Index S&P500 EMINI FUT Jun25 ESM5 INDEX -21 5916 -6211800 -6.39 97120000 6250000 250
06/02/2025 RSBY FGXXX First American Government Obligations Fund 12/01/2031 31846V336 35766029.05 100 35766029.05 36.82 97120000 6250000 250 Y
06/02/2025 RSBY FVU5 Comdty US 5YR NOTE (CBT) Sep25 FVU5 COMDTY 598 108.1875 64696125 66.60 97120000 6250000 250
06/02/2025 RSBY G U5 Comdty LONG GILT FUTURE Sep25 G U5 COMDTY 263 91.48 32444965.88 33.40 97120000 6250000 250
06/02/2025 RSBY GCQ5 Comdty GOLD 100 OZ FUTR Aug25 GCQ5 COMDTY -3 3315.4 -994620 -1.02 97120000 6250000 250
06/02/2025 RSBY GXM5 Index DAX INDEX FUTURE Jun25 GXM5 INDEX 7 24045 4777007.7 4.92 97120000 6250000 250
06/02/2025 RSBY HGN5 Comdty COPPER FUTURE Jul25 HGN5 COMDTY -44 467.75 -5145250 -5.30 97120000 6250000 250
06/02/2025 RSBY HON5 Comdty NY Harb ULSD Fut Jul25 HON5 COMDTY 39 200.54 3284845.2 3.38 97120000 6250000 250
06/02/2025 RSBY JYM5 Curncy JPN YEN CURR FUT Jun25 JYM5 CURNCY -115 69.615 -10007156.25 -10.30 97120000 6250000 250
06/02/2025 RSBY NGN25 Comdty NATURAL GAS FUTR Jul25 NGN25 COMDTY -36 3.447 -1240920 -1.28 97120000 6250000 250
06/02/2025 RSBY NQM5 Index NASDAQ 100 E-MINI Jun25 NQM5 INDEX -3 21376.75 -1282605 -1.32 97120000 6250000 250
06/02/2025 RSBY NXM5 Index NIKKEI 225 (CME) Jun25 NXM5 INDEX 10 37725 1886250 1.94 97120000 6250000 250
06/02/2025 RSBY PTM5 Index S&P/TSX 60 IX FUT Jun25 PTM5 INDEX 62 1568 14141023.31 14.56 97120000 6250000 250
06/02/2025 RSBY QSN5 Comdty Low Su Gasoil G Jul25 QSN5 COMDTY 36 590.75 2126700 2.19 97120000 6250000 250
06/02/2025 RSBY RXM5 Comdty EURO-BUND FUTURE Jun25 RXM5 COMDTY 250 131.21 37239175.35 38.33 97120000 6250000 250
06/02/2025 RSBY SIN5 Comdty SILVER FUTURE Jul25 SIN5 COMDTY 2 33.029 330290 0.34 97120000 6250000 250
06/02/2025 RSBY TUU5 Comdty US 2YR NOTE (CBT) Sep25 TUU5 COMDTY 59 103.71875 12238812.5 12.60 97120000 6250000 250
06/02/2025 RSBY TYU5 Comdty US 10YR NOTE (CBT)Sep25 TYU5 COMDTY 355 110.75 39316250 40.47 97120000 6250000 250
06/02/2025 RSBY USU5 Comdty US LONG BOND(CBT) Sep25 USU5 COMDTY 139 112.78125 15676593.75 16.14 97120000 6250000 250
06/02/2025 RSBY VGM5 Index EURO STOXX 50 Jun25 VGM5 INDEX -121 5368 -7373793.79 -7.59 97120000 6250000 250
06/02/2025 RSBY XBN5 Comdty GASOLINE RBOB FUT Jul25 XBN5 COMDTY 73 201.51 6178296.6 6.36 97120000 6250000 250
06/02/2025 RSBY Z M5 Index FTSE 100 IDX FUT Jun25 Z M5 INDEX -77 8781.5 -9118530.36 -9.39 97120000 6250000 250
06/02/2025 RSBY Cash&Other Cash & Other Cash&Other 12818798.26 1 12818798.26 13.20 97120000 6250000 250 Y
06/02/2025 RSSB ESM5 Index S&P500 EMINI FUT Jun25 ESM5 INDEX 93 5916 27509400 10.04 273920250 11100000 444
06/02/2025 RSSB FGXXX First American Government Obligations Fund 12/01/2031 31846V336 17017207.36 100 17017207.36 6.21 273920250 11100000 444 Y
06/02/2025 RSSB FVU5 Comdty US 5YR NOTE (CBT) Sep25 FVU5 COMDTY 634 108.1875 68590875 25.04 273920250 11100000 444
06/02/2025 RSSB TUU5 Comdty US 2YR NOTE (CBT) Sep25 TUU5 COMDTY 331 103.71875 68661812.5 25.07 273920250 11100000 444
06/02/2025 RSSB TYU5 Comdty US 10YR NOTE (CBT)Sep25 TYU5 COMDTY 619 110.75 68554250 25.03 273920250 11100000 444
06/02/2025 RSSB USU5 Comdty US LONG BOND(CBT) Sep25 USU5 COMDTY 608 112.78125 68571000 25.03 273920250 11100000 444
06/02/2025 RSSB VTI Vanguard Total Stock Market ETF 922908769 510071 289.88 147859381.48 53.98 273920250 11100000 444
06/02/2025 RSSB VXUS Vanguard Total International Stock ETF 921909768 1450906 66.94 97123647.64 35.46 273920250 11100000 444
06/02/2025 RSSB Cash&Other Cash & Other Cash&Other 11911529.2 1 11911529.2 4.35 273920250 11100000 444 Y
06/02/2025 RSST ADM5 Curncy AUDUSD Crncy Fut Jun25 ADM5 CURNCY 26 64.435 1675310 0.67 249362750 11375000 455
06/02/2025 RSST BPM5 Curncy BP CURRENCY FUT Jun25 BPM5 CURNCY 657 134.7 55311187.5 22.18 249362750 11375000 455
06/02/2025 RSST CDM5 Curncy C$ CURRENCY FUT Jun25 CDM5 CURNCY 50 72.955 3647750 1.46 249362750 11375000 455
06/02/2025 RSST CLN5 Comdty WTI CRUDE FUTURE Jul25 CLN5 COMDTY -49 60.79 -2978710 -1.19 249362750 11375000 455
06/02/2025 RSST COQ5 Comdty BRENT CRUDE FUTR Aug25 COQ5 COMDTY -49 62.78 -3076220 -1.23 249362750 11375000 455
06/02/2025 RSST ECM5 Curncy EURO FX CURR FUT Jun25 ECM5 CURNCY 458 1.137 65093250 26.10 249362750 11375000 455
06/02/2025 RSST ESM5 Index S&P500 EMINI FUT Jun25 ESM5 INDEX 221 5916 65371800 26.21 249362750 11375000 455
06/02/2025 RSST FGXXX First American Government Obligations Fund 12/01/2031 31846V336 34739419 100 34739419 13.93 249362750 11375000 455 Y
06/02/2025 RSST FVU5 Comdty US 5YR NOTE (CBT) Sep25 FVU5 COMDTY 294 108.1875 31807125 12.75 249362750 11375000 455
06/02/2025 RSST G U5 Comdty LONG GILT FUTURE Sep25 G U5 COMDTY -180 91.48 -22205680.07 -8.90 249362750 11375000 455
06/02/2025 RSST GCQ5 Comdty GOLD 100 OZ FUTR Aug25 GCQ5 COMDTY 73 3315.4 24202420 9.70 249362750 11375000 455
06/02/2025 RSST GXM5 Index DAX INDEX FUTURE Jun25 GXM5 INDEX 44 24045 30026905.52 12.04 249362750 11375000 455
06/02/2025 RSST HGN5 Comdty COPPER FUTURE Jul25 HGN5 COMDTY 51 467.75 5963812.5 2.39 249362750 11375000 455
06/02/2025 RSST HON5 Comdty NY Harb ULSD Fut Jul25 HON5 COMDTY -28 200.54 -2358350.4 -0.95 249362750 11375000 455
06/02/2025 RSST IVV iShares Core S&P 500 ETF 464287200 316035 592.15 187140125.25 75.04 249362750 11375000 455
06/02/2025 RSST JYM5 Curncy JPN YEN CURR FUT Jun25 JYM5 CURNCY 184 69.615 16011450 6.42 249362750 11375000 455
06/02/2025 RSST NGN25 Comdty NATURAL GAS FUTR Jul25 NGN25 COMDTY 11 3.447 379170 0.15 249362750 11375000 455
06/02/2025 RSST NQM5 Index NASDAQ 100 E-MINI Jun25 NQM5 INDEX 11 21376.75 4702885 1.89 249362750 11375000 455
06/02/2025 RSST NXM5 Index NIKKEI 225 (CME) Jun25 NXM5 INDEX 9 37725 1697625 0.68 249362750 11375000 455
06/02/2025 RSST PTM5 Index S&P/TSX 60 IX FUT Jun25 PTM5 INDEX 55 1568 12544456.16 5.03 249362750 11375000 455
06/02/2025 RSST QSN5 Comdty Low Su Gasoil G Jul25 QSN5 COMDTY -68 590.75 -4017100 -1.61 249362750 11375000 455
06/02/2025 RSST RXM5 Comdty EURO-BUND FUTURE Jun25 RXM5 COMDTY 69 131.21 10278012.4 4.12 249362750 11375000 455
06/02/2025 RSST SIN5 Comdty SILVER FUTURE Jul25 SIN5 COMDTY 27 33.029 4458915 1.79 249362750 11375000 455
06/02/2025 RSST TUU5 Comdty US 2YR NOTE (CBT) Sep25 TUU5 COMDTY 449 103.71875 93139437.5 37.35 249362750 11375000 455
06/02/2025 RSST TYU5 Comdty US 10YR NOTE (CBT)Sep25 TYU5 COMDTY -34 110.75 -3765500 -1.51 249362750 11375000 455
06/02/2025 RSST USU5 Comdty US LONG BOND(CBT) Sep25 USU5 COMDTY -81 112.78125 -9135281.25 -3.66 249362750 11375000 455
06/02/2025 RSST VGM5 Index EURO STOXX 50 Jun25 VGM5 INDEX 173 5368 10542696.91 4.23 249362750 11375000 455
06/02/2025 RSST XBN5 Comdty GASOLINE RBOB FUT Jul25 XBN5 COMDTY -32 201.51 -2708294.4 -1.09 249362750 11375000 455
06/02/2025 RSST Z M5 Index FTSE 100 IDX FUT Jun25 Z M5 INDEX 172 8781.5 20368665.21 8.17 249362750 11375000 455
06/02/2025 RSST Cash&Other Cash & Other Cash&Other 27507642.87 1 27507642.87 11.03 249362750 11375000 455 Y
06/02/2025 RSSX BMRM5 Curncy CME Micro Bitcoin Jun25 BMRM5 CURNCY 11 105130 115643 11.67 991280 50000 2
06/02/2025 RSSX ESM5 Index S&P500 EMINI FUT Jun25 ESM5 INDEX 1 5916 295800 29.84 991280 50000 2
06/02/2025 RSSX GCQ5 Comdty GOLD 100 OZ FUTR Aug25 GCQ5 COMDTY 2 3315.4 663080 66.89 991280 50000 2
06/02/2025 RSSX IBIT iShares Bitcoin Trust ETF 46438F101 2071 59.46 123141.66 12.42 991280 50000 2
06/02/2025 RSSX IVV iShares Core S&P 500 ETF 464287200 1183 592.15 700513.45 70.67 991280 50000 2
06/02/2025 RSSX Cash&Other Cash & Other Cash&Other 167589.57 1 167589.57 16.91 991280 50000 2 Y
06/02/2025 RSSY ADM5 Curncy AUDUSD Crncy Fut Jun25 ADM5 CURNCY -137 64.435 -8827595 -7.61 116017870 6700000 268
06/02/2025 RSSY BPM5 Curncy BP CURRENCY FUT Jun25 BPM5 CURNCY -158 134.7 -13301625 -11.46 116017870 6700000 268
06/02/2025 RSSY CDM5 Curncy C$ CURRENCY FUT Jun25 CDM5 CURNCY -510 72.955 -37207050 -32.06 116017870 6700000 268
06/02/2025 RSSY CLN5 Comdty WTI CRUDE FUTURE Jul25 CLN5 COMDTY 51 60.79 3100290 2.67 116017870 6700000 268
06/02/2025 RSSY COQ5 Comdty BRENT CRUDE FUTR Aug25 COQ5 COMDTY -39 62.78 -2448420 -2.11 116017870 6700000 268
06/02/2025 RSSY ECM5 Curncy EURO FX CURR FUT Jun25 ECM5 CURNCY -160 1.137 -22740000 -19.60 116017870 6700000 268
06/02/2025 RSSY ESM5 Index S&P500 EMINI FUT Jun25 ESM5 INDEX 73 5916 21593400 18.61 116017870 6700000 268
06/02/2025 RSSY FGXXX First American Government Obligations Fund 12/01/2031 31846V336 13225409.59 100 13225409.59 11.40 116017870 6700000 268 Y
06/02/2025 RSSY FVU5 Comdty US 5YR NOTE (CBT) Sep25 FVU5 COMDTY 582 108.1875 62965125 54.26 116017870 6700000 268
06/02/2025 RSSY G U5 Comdty LONG GILT FUTURE Sep25 G U5 COMDTY 315 91.48 38859940.12 33.49 116017870 6700000 268
06/02/2025 RSSY GCQ5 Comdty GOLD 100 OZ FUTR Aug25 GCQ5 COMDTY -3 3315.4 -994620 -0.86 116017870 6700000 268
06/02/2025 RSSY GXM5 Index DAX INDEX FUTURE Jun25 GXM5 INDEX 9 24045 6141867.04 5.29 116017870 6700000 268
06/02/2025 RSSY HGN5 Comdty COPPER FUTURE Jul25 HGN5 COMDTY -53 467.75 -6197687.5 -5.34 116017870 6700000 268
06/02/2025 RSSY HON5 Comdty NY Harb ULSD Fut Jul25 HON5 COMDTY 47 200.54 3958659.6 3.41 116017870 6700000 268
06/02/2025 RSSY IVV iShares Core S&P 500 ETF 464287200 147288 592.15 87216589.2 75.16 116017870 6700000 268
06/02/2025 RSSY JYM5 Curncy JPN YEN CURR FUT Jun25 JYM5 CURNCY -137 69.615 -11921568.75 -10.27 116017870 6700000 268
06/02/2025 RSSY NGN25 Comdty NATURAL GAS FUTR Jul25 NGN25 COMDTY -43 3.447 -1482210 -1.28 116017870 6700000 268
06/02/2025 RSSY NQM5 Index NASDAQ 100 E-MINI Jun25 NQM5 INDEX -3 21376.75 -1282605 -1.11 116017870 6700000 268
06/02/2025 RSSY NXM5 Index NIKKEI 225 (CME) Jun25 NXM5 INDEX 12 37725 2263500 1.95 116017870 6700000 268
06/02/2025 RSSY PTM5 Index S&P/TSX 60 IX FUT Jun25 PTM5 INDEX 75 1568 17106076.58 14.74 116017870 6700000 268
06/02/2025 RSSY QSN5 Comdty Low Su Gasoil G Jul25 QSN5 COMDTY 43 590.75 2540225 2.19 116017870 6700000 268
06/02/2025 RSSY RXM5 Comdty EURO-BUND FUTURE Jun25 RXM5 COMDTY 299 131.21 44538053.72 38.38 116017870 6700000 268
06/02/2025 RSSY SIN5 Comdty SILVER FUTURE Jul25 SIN5 COMDTY 3 33.029 495435 0.43 116017870 6700000 268
06/02/2025 RSSY TYU5 Comdty US 10YR NOTE (CBT)Sep25 TYU5 COMDTY 294 110.75 32560500 28.06 116017870 6700000 268
06/02/2025 RSSY USU5 Comdty US LONG BOND(CBT) Sep25 USU5 COMDTY 38 112.78125 4285687.5 3.69 116017870 6700000 268
06/02/2025 RSSY VGM5 Index EURO STOXX 50 Jun25 VGM5 INDEX -145 5368 -8836364.46 -7.61 116017870 6700000 268
06/02/2025 RSSY XBN5 Comdty GASOLINE RBOB FUT Jul25 XBN5 COMDTY 88 201.51 7447809.6 6.42 116017870 6700000 268
06/02/2025 RSSY Z M5 Index FTSE 100 IDX FUT Jun25 Z M5 INDEX -92 8781.5 -10894867.44 -9.39 116017870 6700000 268
06/02/2025 RSSY Cash&Other Cash & Other Cash&Other 15598816.89 1 15598816.89 13.44 116017870 6700000 268 Y
Date Account StockTicker Shares Price MarketValue NetAssets SharesOutstanding CreationUnits MoneyMarketFlag

Holdings are subject to change without notice.

Managed Futures Trend Portfolio (Excluding Passive U.S. Large Cap Stack)

Crt Time
05/30/2025 07:45 PM
Risk Allocations By Asset Class - Trend Stack Only

% of Risk

Source data: U.S. Bank. Calculations by ReSolve Asset Management Inc. Risk allocations are calculated by multiplying the percentage weights in each market by the daily standard deviation of respective markets over the past 30 days, and standardizing the results.

Risk Allocations By Market
Equities
Bonds
Currencies vs. the U.S. Dollar
Energies
Metals
07 // Purchase

How to Buy

The Fund is available through various channels, broker-dealers, investment advisers, and other financial services firms, including:

The Fund, the Investment Adviser, Sub-Adviser, and Distributor are not affiliated with these financial service firms. Their listing should not be viewed as a recommendation or endorsement.

Important Disclosures

Investors should carefully consider the investment objectives, risks, charges and expenses of the Return Stacked® ETFs. This and other important information about the ETFs is contained in their prospectuses, which can be obtained by calling 1-844-737-3001 or clicking here. The prospectuses should be read carefully before investing.

For current holdings click here.

Tidal Investments, LLC (“Tidal”) serves as investment adviser to the Funds and the Funds’ Subsidiary. 

Newfound Research LLC (“Newfound”) serves as investment sub-adviser to the Fund.

ReSolve Asset Management SEZC (Cayman) (“ReSolve”) serves as futures trading advisor to the Fund and the Funds’ Subsidiary.

The Return Stacked® U.S. Stocks & Gold/Bitcoin ETF is distributed by Foreside Fund Services, LLC, Member FINRA/SIPC.  Foreside is not related to Tidal, Newfound, or ReSolve.

Investments involve risk. Principal loss is possible. Unlike mutual funds, ETFs may trade at a premium or discount to their net asset value. Brokerage commissions may apply and would reduce returns. Bitcoin Investment Risk: The Fund’s indirect investment in bitcoin, through futures contracts and Underlying Funds, exposes it to the unique risks of this emerging innovation. Bitcoin’s price is highly volatile, and its market is influenced by the changing bitcoin network, fluctuating acceptance levels, and unpredictable usage trends. Not being a legal tender and operating outside central authority systems like banks, bitcoin faces potential government restrictions. The value of bitcoin has historically been subject to significant speculation, making trading and investing in bitcoin reliant on market sentiment rather than traditional fundamental analysis. Blockchain Technology Risk: Blockchain technology, which underpins bitcoin and other digital assets, is relatively new, and many of its applications are untested. The adoption of blockchain and the development of competing platforms or technologies could affect its usage. Cayman Subsidiary Risk: By investing in the Fund’s Cayman Subsidiary, the Fund is indirectly exposed to the risks associated with the Subsidiary’s investments. The futures contracts and other investments held by the Subsidiary are subject to the same economic risks that apply to similar investments if held directly by the Fund. The Subsidiary is not registered under the 1940 Act, and, unless otherwise noted in the Fund’s Prospectus, is not subject to all the investor protections of the 1940 Act. Commodity Risk: Investing in physical commodities is speculative and can be extremely volatile. Commodity-Linked Derivatives Tax Risk: The tax treatment of commodity-linked derivative instruments may be adversely affected by changes in legislation, regulations, or other legally binding authority. As a registered investment company (RIC), the Fund must derive at least 90% of its gross income each taxable year from certain qualifying sources of income under the Internal Revenue Code. If, as a result of any adverse future legislation, U.S. Treasury regulations, and/or guidance issued by the Internal Revenue Service, the income of the Fund from certain commodity-linked derivatives, including income from the Fund’s investments in the Subsidiary, were treated as non-qualifying income, the Fund may fail to qualify as RIC and/or be subject to federal income tax at the Fund level. The uncertainty surrounding the treatment of certain derivative instruments under the qualification tests for a RIC may limit the Fund’s use of such derivative instruments. Commodity Pool Regulatory Risk: The Fund’s investment exposure to futures instruments will cause it to be deemed to be a commodity pool, thereby subjecting the Fund to regulation under the Commodity Exchange Act and the Commodity Futures Trading Commission rules. Because the Fund is subject to additional laws, regulations, and enforcement policies, it may have increased compliance costs which may affect the operations and performance of the Fund. Credit Risk: Credit risk refers to the possibility that the issuer of a security will not be able to make principal and interest payments when due. Changes in an issuer’s credit rating or the market’s perception of an issuer’s creditworthiness may also affect the value of the Fund’s investment in that issuer. Derivatives Risk: Derivatives are instruments, such as futures contracts, whose value is derived from that of other assets, rates, or indices. The use of derivatives for non-hedging purposes may be considered to carry more risk than other types of investments. Digital Asset Risk: Digital assets like bitcoin, designed as mediums of exchange, are still an emerging asset class and are not presently widely used as such. They operate independently of any central authority or government backing and are subject to regulatory changes and extreme price volatility. Equity Market Risk: By virtue of the Fund’s investments in equity securities, equity ETFs, and equity index futures agreements, the Fund is exposed to equity securities both directly and indirectly which subjects the Fund to equity market risk. Common stocks are generally exposed to greater risk than other types of securities, such as preferred stock and debt obligations, because common stockholders generally have inferior rights to receive payment from specific issuers. Equity securities may experience sudden, unpredictable drops in value or long periods of decline in value. This may occur because of factors that affect securities markets generally or factors affecting specific issuers, industries, or sectors in which the Fund invests. Gold Investment Risks: The Fund will not invest directly in gold but will gain exposure through gold futures contracts and Underlying Funds. These investments are subject to significant risk due to the inherent volatility and unpredictability of the commodities markets. The value of these investments is typically derived from the price movements of physical gold or related economic variables. Leverage Risk: As part of the Fund’s principal investment strategy, the Fund will make investments in futures contracts to gain long and short exposure across four major asset classes (commodities, currencies, fixed income, and equities). These derivative instruments provide the economic effect of financial leverage by creating additional investment exposure to the underlying instrument, as well as the potential for greater loss. New Fund Risk: The Fund is a recently organized with no operating history. As a result, prospective investors do not have a track record or history on which to base their investment decisions. Non-Diversification Risk: The Fund is non-diversified, meaning that it is permitted to invest a larger percentage of its assets in fewer issuers than diversified funds. Underlying Fund Risk: The Fund’s investment strategy, involving indirect exposure to bitcoin and gold through one or more Underlying Funds, is subject to the risks associated with bitcoin as well as gold. Shareholders in the Fund bear both their proportionate share of expenses in the Fund and, indirectly, the expenses of the Underlying Funds. Potentially No 1940 Act Protections: It is expected that one or more Underlying Funds will not be registered as an investment company subject to the 1940 Act. In addition, Underlying Funds that invest directly in bitcoin or gold are not subject to the 1940 Act. Accordingly, investors in such an Underlying Fund would not have the protections expressly provided by that statute.

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