LAYS
STKd 100% NVDA & 100% AMD ETF
LAYS pairs two semiconductor leaders that drive AI, gaming, and high-performance computing. With NVIDIA and AMD at the core of technological advancements, LAYS provides exposure to the processing power of tomorrow.
LAYS Overview
Quantify Funds’ STKd 100% NVDA & 100% AMD ETF invests in two of the most innovative chipmakers, fueling artificial intelligence, cloud computing, and next-gen gaming. LAYS seeks to offer 200% exposure to the companies shaping digital transformation.
Why LAYS?
- Semiconductor Powerhouses:Invest in industry leaders driving AI and computing.
- Gaming & AI Boom: Taps into fast-growing sectors reliant on high-performance chips.
- Tech Backbone: Supports industries ranging from cloud computing to machine learning.
The Fund is an actively-managed exchange-traded fund (“ETF”) that seeks to achieve its investment objective by employing derivatives, namely swap agreements and/or listed options contracts, to gain long exposure to two underlying securities, NVIDIA Corporation (“NVDA”) and Advanced Micro Devices, Inc. (“AMD”)
If the share price of NVDA or AMD decreases, the Fund will likely lose value and, as a result, the Fund may suffer significant losses.
Fund Details
Name | Value |
---|---|
Fund Name | STKd 100% NVDA & 100% AMD ETF |
Fund Inception | 3/5/2025 |
Ticker | LAYS |
Primary Exchange | NYSE |
CUSIP | 88636R412 |
Expense Ratio | 1.29% |
30 Day SEC Yield As of 2/28/2025 |
- |
*The 30-Day SEC Yield is calculated with a standardized formula mandated by the SEC. The formula is based on the maximum offering price per share and does not reflect waivers in effect.
Name | value |
---|---|
Net Assets | $20.00 |
NAV | $20.00 |
Shares Outstanding | 1 |
Premium/discount Percentage | 0.00% |
Closing Price | $20.00 |
Median 30 Day Spread** | nan% |
Rate Date |
---|
03/05/2025 |
**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
Name |
---|
03/06/2025 |
Date | Account | Ticker | CUSIP | SecurityName | Shares | Price | MarketValue | Weightings | NetAssets | SharesOutstanding | CreationUnits | MoneyMarketFlag |
---|---|---|---|---|---|---|---|---|---|---|---|---|
03/06/2025 | LAYS | 007903107 SWP | 007903107 SWP | 007903107 SWP | 9,800.00 | 101.67 | 996,366.00 | 99.67% | 1,000,020 | 50,001 | 2 | |
03/06/2025 | LAYS | 67066G104 SWP | 67066G104 SWP | 67066G104 SWP | 8,475.00 | 117.30 | 994,117.50 | 99.45% | 1,000,020 | 50,001 | 2 | |
03/06/2025 | LAYS | Cash&Other | Cash&Other | Cash & Other | -990,861.60 | 1.00 | -990,861.60 | -99.12% | 1,000,020 | 50,001 | 2 | Y |
Holdings are subject to change without notice.
Performance
Name |
---|
02/28/2025 |
Fund Name | Ticker | 1MO | 3MO | 6MO | YTD | 1YR | Since Inception Cumulative | 3 Year | 5 Year | Since Inception Annualized | Date |
---|---|---|---|---|---|---|---|---|---|---|---|
ETF | NAV | - | - | - | - | - | 0.00 | - | - | - | |
ETF | MKT | - | - | - | - | - | 0.00 | - | - | - |
Name |
---|
12/31/2024 |
Fund Name | Ticker | 1MO | 3MO | 6MO | YTD | 1YR | Since Inception Cumulative | 3 Year | 5 Year | Since Inception Annualized | Date |
---|---|---|---|---|---|---|---|---|---|---|---|
ETF | NAV | - | - | - | - | - | - | - | - | - | |
ETF | MKT | - | - | - | - | - | - | - | - | - | |
- | - | - | - | - | - | - | - |
The performance data quoted above represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted above. Performance current to the most recent month-end can be obtained by calling (844) 599-9888.
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 historical returns. Returns beyond 1 year are annualized.
A fund’s NAV is the sum of all its assets less any liabilities, divided by the number of shares outstanding. The market price is the most recent price at which the fund was traded.
Distribution
Ex Date | Record Date | Payable Date | Amount |
---|---|---|---|
12/23/2024 | 12/23/2024 | 12/26/2024 | 0.05 |