NEOS S&P 500(R) Hedged Equity Income ETF (SPYH)

Management Company · CBSX · Series S000091457 · View on SEC EDGAR ↗

$56.68
As of Aug. 27, 2026
▲ +0.23 (+0.41%)
1-day change
$56.38 $56.95
52-week range
Net assets
$32.3M
Holdings
491
As of
June 30, 2026
Top 10 holdings weight
36.33%
Effective number of positions
51.2
Positions above 1%
15
On this page

SPYH Stock Price Chart Daily OHLCV with technical indicators — pan, zoom, and customize your view

Performance as of Aug. 26, 2026

Period Price return Total return
1M
3M
6M
YTD
1Y
3Y
5Y
Max since Aug. 18, 2026 ▼ -0.60% ▼ -0.60%
Volatility 1Y
Volatility 3Y
Max drawdown 3Y
Beta 3Y
Sharpe 1Y*

Total return assumes dividends are reinvested. Returns are not benchmarked against an index. * Sharpe ratio is computed with a 0% risk-free rate.

Fund flows (SEC-reported)

Last month (Jun 2026)
+$3.3M
Quarter ending Jun 2026
+$5.0M
Trailing 12 months
+$28.4M

Jul 2025 – Jun 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Full composition 491 holdings

NameCUSIP Value % Balance Category Country
Linde PLC $123K 0.38 237 EC US
Amphenol Corp 032095101 $112K 0.35 638 EC US
Seagate Technology Holdings PL $112K 0.35 116 EC US
Western Digital Corp 958102105 $106K 0.33 166 EC US
Analog Devices Inc 032654105 $102K 0.31 256 EC US
Corning Inc 219350105 $101K 0.31 395 EC US
McDonald's Corp 580135101 $99K 0.31 366 EC US
Amgen Inc 031162100 $97K 0.30 268 EC US
PepsiCo Inc 713448108 $96K 0.30 707 EC US
QUALCOMM Inc 747525103 $94K 0.29 506 EC US
NextEra Energy Inc 65339F101 $92K 0.29 1,051 EC US
Verizon Communications Inc 92343V104 $92K 0.29 2,178 EC US
Crowdstrike Holdings Inc 22788C105 $92K 0.28 120 EC US
Thermo Fisher Scientific Inc 883556102 $91K 0.28 181 EC US
Arista Networks Inc 040413205 $91K 0.28 534 EC US
American Express Co 025816109 $90K 0.28 266 EC US
Boeing Co/The 097023105 $89K 0.27 410 EC US
TJX Cos Inc/The 872540109 $86K 0.27 568 EC US
Walt Disney Co/The 254687106 $86K 0.27 894 EC US
Eaton Corp PLC $85K 0.26 200 EC IE
Gilead Sciences Inc 375558103 $84K 0.26 666 EC US
Union Pacific Corp 907818108 $83K 0.26 304 EC US
Abbott Laboratories 002824100 $80K 0.25 880 EC US
Welltower Inc 95040Q104 $79K 0.24 348 EC US
Charles Schwab Corp/The 808513105 $79K 0.24 856 EC US
Uber Technologies Inc 90353T100 $77K 0.24 1,064 EC US
Deere & Co 244199105 $76K 0.24 120 EC US
AT&T Inc 00206R102 $75K 0.23 3,620 EC US
Intuitive Surgical Inc 46120E602 $70K 0.22 177 EC US
Pfizer Inc 717081103 $69K 0.21 2,866 EC US
ConocoPhillips 20825C104 $69K 0.21 661 EC US
CVS Health Corp 126650100 $68K 0.21 656 EC US
Prologis Inc 74340W103 $67K 0.21 494 EC US
Progressive Corp/The 743315103 $66K 0.20 302 EC US
Chubb Ltd $65K 0.20 192 EC CH
Lowe's Cos Inc 548661107 $65K 0.20 295 EC US
Altria Group Inc 02209S103 $65K 0.20 899 EC US
Salesforce Inc 79466L302 $64K 0.20 411 EC US
Bristol-Myers Squibb Co 110122108 $64K 0.20 1,105 EC US
Dell Technologies Inc 24703L202 $63K 0.19 146 EC US
Capital One Financial Corp 14040H105 $62K 0.19 311 EC US
Starbucks Corp 855244109 $62K 0.19 608 EC US
S&P Global Inc 78409V104 $62K 0.19 152 EC US
Marvell Technology Inc 573874104 $61K 0.19 204 EC US
AppLovin Corp 03831W108 $60K 0.19 117 EC US
Danaher Corp 235851102 $60K 0.18 314 EC US
Vertex Pharmaceuticals Inc 92532F100 $60K 0.18 120 EC US
Vertiv Holdings Co 92537N108 $59K 0.18 177 EC US
Blackrock Inc 09290D101 $58K 0.18 60 EC US
Trane Technologies PLC $57K 0.18 116 EC IE
Page 2 of 10

Sector breakdown

Technology
34.4%
Communication Services
9.1%
Health Care
8.8%
Industrials
8.3%
Retail
6.9%
Financial Services
5.2%
Financials
4.7%
Consumer Discretionary
3.5%
Energy
3.1%
Utilities
2.4%
Consumer Staples
2.1%
Real Estate
1.9%
Communications
1.2%
Materials
1.1%
Consumer products
1.0%
Telecommunication
0.6%
Logistics & Transportation
0.3%
Packaging
0.1%
Other/Unmapped
5.3%

Dividends 16 payments

6.97%
TTM yield
$3.95
TTM payout / share
Monthly (est.)
Ex-date Amount / share
July 29, 2026 $0.3610
June 24, 2026 $0.3640
May 27, 2026 $0.3660
April 29, 2026 $0.3590
March 25, 2026 $0.3470
Feb. 25, 2026 $0.3580
Jan. 28, 2026 $0.3630
Dec. 24, 2025 $0.3610
Nov. 26, 2025 $0.3550
Oct. 22, 2025 $0.3580
Sept. 24, 2025 $0.3570
Aug. 20, 2025 $0.3500
July 23, 2025 $0.3450
June 25, 2025 $0.3370
May 21, 2025 $0.3340
April 23, 2025 $0.2560

Institutional owners (13F) 12 filers

Institutions that report holding this ETF in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Institution Value % of tracked 13F Shares Type As of
IFP Advisors, Inc $2,249,635 34.36% 40,325 Shares June 30, 2026
MGO ONE SEVEN LLC $1,298,791 19.84% 23,281 Shares June 30, 2026
Waverly Advisors, LLC $1,241,330 18.96% 22,251 Shares June 30, 2026
Sound Income Strategies, LLC $584,487 8.93% 10,477 Shares June 30, 2026
Astoria Portfolio Advisors LLC. $402,563 6.15% 7,216 Shares June 30, 2026
World Investment Advisors $305,226 4.66% 5,802 Shares June 30, 2026
Fiduciary Alliance LLC $224,991 3.44% 4,033 Shares June 30, 2026
Resurgent Financial Advisors LLC $224,991 3.44% 4,033 Shares June 30, 2026
ROYAL BANK OF CANADA $7,000 0.11% 125 Shares June 30, 2026
GHP Investment Advisors, Inc. $4,501 0.07% 86 Shares March 31, 2026
Imprint Wealth LLC $1,841 0.03% 33 Shares June 30, 2026
HARBOUR INVESTMENTS, INC. $1,004 0.02% 18 Shares June 30, 2026

Peer funds

Similar by size

Fund AUM
ITDH iShares LifePath Target Date 20… $32.4M
CPST Calamos S&P 500 Structured Alt … $32.4M
PAWZ ProShares Pet Care ETF $32.5M
CPNQ Calamos Nasdaq-100 Structured A… $32.5M
CAAA First Trust AAA CMBS ETF $32.5M
AUGM FT Vest U.S. Equity Max Buffer … $32.3M
SIXD AllianzIM U.S. Equity 6 Month B… $32.3M
GLDY Defiance Gold Enhanced Options … $32.3M
ASMG Leverage Shares 2X Long ASML Da… Leveraged/Inverse $32.3M
ACVT Advent Convertible Bond ETF $32.3M