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Obra Opportunistic Structured Products ETF

OOSP · Fixed Income

$10.19
+0.44%
Assets
n/a
Expense ratio
0.91%
Holdings
247
1Y return
+7.9%
Forward P/E
n/a
Top 10 holdings
+9.3%

Return and risk

1Y total return+7.9%
3Y total returnn/a
5Y total returnn/a
3Y CAGRn/a
5Y CAGRn/a
Beta0.06
RSI60.78

Fund structure

Asset classFixed Income
Assetsn/a
Holdings247
Expense ratio0.91%
Dividend yield+6.5%
Top 10 holdings+9.3%
Volume4K

All ETF indicators

All Time High11.02
All Time High Change-7.53
All Time High Date2025-04-07
All Time Low9.46
All Time Low Change7.77
All Time Low Date2025-01-28
Atr0.05
Beta0.06
Cagr1y7.93
Ch1m0.44
Ch1w0.69
Ch1y1.14
Ch3m-0.2
Ch6m0.39
Ch YTD0.44
Close10.15
Dividend Growth0
Dividend Growth Years2
Dividend Years3
Dividend Yield6.47
Dps0.66
Ex Div Date2026-04-29
High5210.29
High52ch-0.97
High52 Date2025-11-18
Inception Date2024-04-09
IsinUS84858T8484
Last Dividend0.05
Low5210.05
Low52ch1.39
Low52 Date2026-03-31
Ma15010.17
Ma150ch0.21
Ma2010.14
Ma20010.17
Ma200ch0.2
Ma20ch0.52
Ma5010.14
Ma50ch0.51
Payment Date2026-04-30
Payout FrequencyMonthly
Price Date2026-05-12
Rsi60.78
Rsi Monthly60.05
Rsi Weekly53.85
Sharpe Ratio0.93
Sortino Ratio2.89
Top10holdings9.3
Tr1m0.98
Tr1y7.92
Tr3m1.4
Tr6m3.66
Tr YTD2.6