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ANALYTICS
AnalysisScreenerGroups

Selection

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INYY

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Benchmark

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Peer Universe

Reference set for percentile ranks and factor bars

Options Funds · 830 total

ANALYTICS
AnalysisScreenerGroups

INYY

Single Stock

YieldMax(R) INTC Option Income Strategy ETF

Expense Ratio
0.99%
AUM
$27M
Inception
6/4/2026
·

The fund invests at least 80% of net assets in securities and financial instruments providing indirect exposure to Intel Corporation (INTC), utilizing a synthetic covered call strategy or a synthetic covered call spread strategy to generate options premiums. The strategy includes purchasing call options and selling put options to replicate price movements of INTC, while also writing call options to generate income, with U.S. Treasuries held as collateral. The fund is classified as non-diversified and does not invest directly in INTC.

Time Series
–

Performance

NameCumulative ReturnAnn. ReturnAnn. VolSharpeMax DD
INYY
YieldMax(R) INTC Option Income Strategy ETF
-0.7%-2.1%67.6%-0.08-34.9%
ⓘ Methodology

ETF performance based on market prices. Drag on chart to select period. Sharpe Ratio uses the one-month T-bill as the risk-free rate. From 6/4/2026 to 10/7/2026.

Trailing Returns

Name
YTD1D5D1M3M6M1Y2Y3Y5YMAX
INYY
YieldMax(R) INTC Option Income Strategy ETF
-1.3%0.6%-3.7%13.8%1.1%-1.3%
ⓘ Methodology

ETF performance based on market prices. Returns for periods greater than one year are annualized. As of 10/7/2026.

Annual Returns

Name
YTD
INYY
YieldMax(R) INTC Option Income Strategy ETF
-1.3%
ⓘ Methodology

ETF performance based on market prices. As of 10/7/2026.

Correlation Matrix

Benchmark

Select a second series, or to correlate with the seven research factors.

Factor Regression

Not enough overlapping history for a regression in this period.
ⓘ Methodology

ETF performance based on market prices. Daily OLS of excess return (fund − T-bill) on factor spread returns over the selected date range, intersected with each series' history. Bold with * |t| ≥ 1.96, ** |t| ≥ 2.58. Cell shading tracks each loading's t-stat. Betas are returns-based — compare with the holdings-based factor scores below. Factor returns are long-short spread returns (© Ken French, Dartmouth).

SnapshotAs ofvsⓘ

Fund ProfileSingle StockNon-Diversified

Family
Type
ETF
Asset Class
Peer Asset Class
Options
Region
Peer Group Benchmark
Peer Group
Options - Income (295 peers)
Expense Ratio
0.99%
AUM
$27M
Inception
6/4/2026
Holdings (Reported)
16
Non-Diversified
Yes
Turnover
0%
Equity
6%
Derivatives
6%
Net Equity Exposure
0%
Option Notional
190%
Strategy Summary

The fund invests at least 80% of net assets in securities and financial instruments providing indirect exposure to Intel Corporation (INTC), utilizing a synthetic covered call strategy or a synthetic covered call spread strategy to generate options premiums. The strategy includes purchasing call options and selling put options to replicate price movements of INTC, while also writing call options to generate income, with U.S. Treasuries held as collateral. The fund is classified as non-diversified and does not invest directly in INTC.

ⓘ Methodology

Expense ratio and its components from the fund's prospectus fee table. Turnover from market data (10/6/2026). Yield as of 10/6/2026, AUM 9/30/2026. Holdings, asset class, style, peer group and exposures as of 7/31/2026. Strategy summary from the fund's prospectus.

Factor DetailsRef: Options Funds

None of the selected metrics are scored for INYY — switch the picker to All, or add metrics under Metrics (top right).

ⓘ Methodology

Hover or click for factor definitions. Weighted average of underlying company-level values with weights equal to position size. Solid blue dots mark the fund's position within the clean equity fund universe (5th–95th percentile scale); the shaded band spans the fund's broad class (Options Funds) 25th–75th percentile, notched at the median. Holdings as of 7/31/2026. Stock-level data as of 8/31/2026. Expense ratio, yield, and turnover as of 10/6/2026. AUM as of 9/30/2026.

Country Exposure

Level
100.0%
100.0%
ⓘ Methodology

Shares are percentages of the holdings that carry a country, not portfolio weights. Based on N-PORT domicile; ADRs list under their exchange. Holdings as of 7/31/2026. Stock-level data as of 8/31/2026.

Holdings

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16 positions (top 10 shown, create for full holdings)

#NameTickerWeight %SectorIndustryCountry
1Treasury Bill-
34.03
--USA
2Treasury Bill-
30.33
--USA
3Treasury Bill-
24.76
--USA
4IntelINTC
11.71
TechnologySemiconductorsUSA
5First American Government Obli-
3.45
--USA
6IntelINTC
0.80
TechnologySemiconductorsUSA
7IntelINTC
0.66
TechnologySemiconductorsUSA
8IntelINTC
0.45
TechnologySemiconductorsUSA
9IntelINTC
0.26
TechnologySemiconductorsUSA
10IntelINTC
0.00
TechnologySemiconductorsUSA
ⓘ Methodology

Sector, country and factor detail need a security match; the share of weight that matched is a member figure, so the rows without one appear here with those columns blank. Holdings as of 7/31/2026. Stock-level data as of 8/31/2026.

ConcentrationRef: Options Funds

Total Holdings16
Effective Holdings4
Top 10 Weight106.5%
Max Position34.0%
Top Sector (of Net Assets)93%
Top Country (of Net Assets)100%
ⓘ Methodology

Hover or click for definitions. Solid blue dots mark the fund: percentage rows on a 0–100% scale, holdings counts log-scaled across the clean-universe 5th–95th percentile range. The shaded band spans the fund's broad class (Options Funds) 25th–75th percentile, notched at the median. Holdings as of 7/31/2026.

Peer Group Rank

See All Peer Groups
Metric
INYY
YieldMax(R) INTC Option Income Strategy ETF
Peer Group
295 funds
Peer Asset Class
830 funds
YTD Return
-1.33%6.95%257.62%11
1Y Return
---
3Y Return (Ann.)
---
5Y Return (Ann.)
---
Expense Ratiohigher = cheaper
0.99%0.99%450.79%18
ⓘ Methodology

Sparkline's own holdings-based peer taxonomy (329 share classes across 295 funds). One share class shown per fund — the exchange-listed class where the SEC series has one, else its longest-history class; percentile ranks and medians are computed against the same deduped set. Quartile chips fill the layer the fund's rank falls in (top layer = best quartile). Funds without a full return history rank only on the horizons they cover.

Similar Funds

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Nearest funds across the whole universe, by holdings and behavior — the peer taxonomy is ignored, so matches can come from any category.

Top Similarity98
Top Overlap
Top Active Tilt
FundPeer Group
1MRNY
YieldMax(R) Mrna Option Income Strategy ETF
Options - Income
Options - Income
98--
2HOOY
YieldMax(R) Hood Option Income Strategy ETF
Options - Income
Options - Income
95--
3MARO
YieldMax(R) Mara Option Income Strategy ETF
Options - Income
Options - Income
95--
4TSMY
YieldMax(R) Tsm Option Income Strategy ETF
Options - Income
Options - Income
94--
5DRAY
YieldMax(R) Dkng Option Income Strategy ETF
Options - Income
Options - Income
93--
6TSLY
YieldMax(R) Tsla Option Income Strategy ETF
Options - Income
Options - Income
93--
7CONY
YieldMax(R) Coin Option Income Strategy ETF
Options - Income
Options - Income
93--
8GDXY
YieldMax(R) Gold Miners Option Income Strategy ETF
Options - Income
Options - Income
92--
9FEAT
Yieldmax Dorsey Wright Featured 5 Income ETF
Options - Income
Options - Income
92--
10BRKC
YieldMax(R) Brk.b Option Income Strategy ETF
Options - Income
Options - Income
91--

The method columns are members-only — create a free account to see these figures.

ⓘ Methodology

Rows are the consensus top matches (a fund must place in at least two methods' top 250 to qualify, and matches missing more than one of this fund's own methods are not ranked — a row scored on fewer methods is a noisier estimate, not a better match). Click a method column to see that method's own top matches across the whole universe instead. Gray (N) beside each method's metric is that fund's rank in the whole universe on that method. Similarity is a percentile among match-grade fund pairs, 0–100 — 87 means the pair is closer than 87% of the strongest matches in the universe, averaged across the methods — so it compares across funds: index clones tie at the top with thousands of other clone pairs, so scores top out in the high 80s to 90s, while a one-of-a-kind fund's best match can score in the 30s. Rows are ordered by the Consensus Rank — the geometric mean of those universe ranks, shown in each cell's tooltip — and the score is held down the list to the level of the closest match above it, so equal scores mean equally close and the number reads as a floor. A dash means that method has no figure for the pair at all (one of them lacks the holdings or return history it needs). Hover a column header for each method's definition. The “Top…” strips above compare against every fund's own top match across the whole universe (they deliberately don't follow the Peer Universe selector); Top Similarity is simply the best match's score, with no reference band; the Holdings and Active Tilt strips carry no reference band because computing every fund's best book overlap would require a full holdings scan per fund — the dot stands alone on its natural 0–100% scale. One share class shown per fund, and a fund's own sister share classes are excluded from its Top-match strips. Holdings as of 7/31/2026. Consensus Rank is the geometric mean of the match's universe-wide rank across the methods (#1.0 = top match on every one). Holdings Overlap = common-holdings weight (sum of the minimum weight across shared positions, long only). Active Tilt Overlap = the same statistic on active weights (holdings minus the fund's own default benchmark, floored at 0), which strips the benchmark ballast that dominates raw overlap.