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Simplify Risk Parity Treasury ETF (TYA)

Simplify Risk Parity Treasury ETF (TYA)
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Overview

Name Simplify Risk Parity Treasury ETF
Fund Family Simplify ETFs
Underlying Index ICE 20plus Year US Treasury Index
Inception Date 09/27/21
First Trade Date 09/28/21
Leverage Long
Asset Class Fixed Income

Description:

The Simplify Risk Parity Treasury ETF seeks to target the duration of the ICE 20plus Year US Treasury Index by investing in Treasuries and Treasury futures in the middle of the curve.

Investment Information

Alpha 0.00
60-Month Beta 0.68
Standard Deviation +1.12
Shares Outstanding, K 9,800.00
Managed Assets, $K 120,175.40 K
Net Asset Value 12.26
First Trade Price 25.03
P/E Ratio 0.00
Management Fee 0.15%
Options No
Latest Dividend 0.050
Last Dividend Date 11/25/24
Annual Dividend 0.63
Annual Dividend Yield 5.13%
1-Year Return -13.55%
3-Year Return -50.23%
5-Year Return 0.00%
Management Expense Ratio 0.15%

TYA Dividends

Date Value
11/25/24 $0.0500
10/28/24 $0.0500
09/25/24 $0.0400
08/27/24 $0.0600
07/26/24 $0.0600
06/25/24 $0.0500
05/24/24 $0.0500
04/25/24 $0.0500
03/25/24 $0.0100
02/26/24 $0.0500
01/26/24 $0.0500
12/26/23 $0.1090
11/27/23 $0.0500
10/26/23 $0.0500
08/28/23 $0.0500
07/26/23 $0.0500
06/27/23 $0.0500
05/25/23 $0.0500
04/25/23 $0.0500
03/27/23 $0.0500
02/23/23 $0.0500
01/26/23 $0.0500
12/27/22 $0.0500
11/25/22 $0.0500
10/26/22 $0.0600
09/27/22 $0.0600
08/26/22 $0.0210
07/26/22 $0.0100
06/27/22 $0.0180
05/25/22 $0.0110
04/26/22 $0.0170
03/28/22 $0.0190
02/23/22 $0.0130
01/26/22 $0.0100
12/27/21 $0.0160
11/24/21 $0.0060
10/26/21 $0.0060
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