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Next Dividend Declaration: 2026-09-15

YMTracker - YieldMax PNL, Trades, Holdings & Dividend Tracker

CONY (former group C) declares on Sep 16

Current PNL

PNL per Share

Shares Outstanding17.68M

$150 Synthetic

$170 Synthetic

Synthetic PNL

Open PNL

Cash$1.6M

CONY Price$19.26

Fund Size (AUM)$340.56M

Last Dividend$0.3405

COIN Price $172.75 (77.4% IV)

Algo Estimate: $0.288 – $0.337 **
Algo Yield: 77.83-90.93%

IV-Based Estimate: $0.287

Cycle Start: 2026-09-06 | Cycle End: 2026-09-12 | Ex-Date: 2026-09-17 | Payout: 2026-09-18

CONY ETF Returns Summary
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per share
1m
3m
6m
YTD
1y
2y
All
Divs/Share
$1.42
NAV Return
+$1.19+6.6%
NAV+Divs Net
+$2.61+14.4%
CONY Shares & Divs
CONY Rolling PNL
Cycle Date Options PNL Options PNL/Sh Shares Synthetic PNL Cash
01/07/26 $908,395 $0.055 16.43M -$110.51M -$13.70M
01/14/26 -$44.70M -$2.784 16.06M -$60.64M $11.43M
01/21/26 15.86M $10.47M
01/28/26 15.43M -$5.77M
02/04/26 14.86M -$106.10M
02/11/26 14.01M -$7.97M
02/18/26 14.58M $9.29M
02/25/26 14.06M -$2.58M
03/04/26 14.13M -$1.50M
03/11/26 13.63M -$2.09M
03/18/26 13.68M $7.04M
03/25/26 14.53M -$4.19M
04/01/26 14.81M $5.02M
04/08/26 15.01M $410,056
04/15/26 15.18M $5.97M
04/22/26 15.18M $0
04/29/26 14.88M $10.82M
05/06/26 15.21M $7.32M
05/13/26 15.71M $10.92M
05/20/26 15.73M $4.61M
05/27/26 17.01M $7.86M
06/03/26 17.13M $7.83M
06/10/26 17.26M $10.50M
06/17/26 17.21M $29.73M
06/24/26 16.28M $18.12M
07/01/26 16.31M $28.35M
07/08/26 16.38M $18.94M
07/15/26 16.38M -$21.77M
07/22/26 16.51M $6.12M
07/29/26 17.61M $9.31M
08/05/26 18.08M $11.82M
08/12/26 18.16M $6.22M
08/19/26 18.43M $7.19M
08/26/26 17.36M -$3.49M
09/02/26 17.28M -$3.47M
09/09/26 17.48M $2.22M
09/16/26 17.68M $1.59M
Rolling Totals 17.68M
Cycle Date Options PNL Options PNL/Sh Shares Synthetic PNL Cash
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Cycle Date Options PNL Options PNL/Sh Shares Synthetic PNL Cash
08/12/26 -$1.99M -$0.109 18.16M -$25.05M $6.22M
08/19/26 -$7.53M -$0.409 18.43M -$26.40M $7.19M
08/26/26 17.36M -$3.49M
09/02/26 17.28M -$3.47M
09/09/26 17.48M $2.22M
09/16/26 17.68M $1.59M
Rolling Totals 17.68M
Cycle Date Options PNL Options PNL/Sh Shares Synthetic PNL Cash
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Cycle Date Options PNL Options PNL/Sh Shares Synthetic PNL Cash
06/10/26 $5.07M $0.294 17.26M -$61.75M $10.50M
06/17/26 -$9.37M -$0.545 17.21M -$32.71M $29.73M
06/24/26 16.28M $18.12M
07/01/26 16.31M $28.35M
07/08/26 16.38M $18.94M
07/15/26 16.38M -$21.77M
07/22/26 16.51M $6.12M
07/29/26 17.61M $9.31M
08/05/26 18.08M $11.82M
08/12/26 18.16M $6.22M
08/19/26 18.43M $7.19M
08/26/26 17.36M -$3.49M
09/02/26 17.28M -$3.47M
09/09/26 17.48M $2.22M
09/16/26 17.68M $1.59M
Rolling Totals 17.68M
Cycle Date Options PNL Options PNL/Sh Shares Synthetic PNL Cash
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Cycle Date Options PNL Options PNL/Sh Shares Synthetic PNL Cash
03/11/26 -$20.63M -$1.513 13.63M $59.03M -$2.09M
03/18/26 $6.89M $0.503 13.68M $34.81M $7.04M
03/25/26 14.53M -$4.19M
04/01/26 14.81M $5.02M
04/08/26 15.01M $410,056
04/15/26 15.18M $5.97M
04/22/26 15.18M $0
04/29/26 14.88M $10.82M
05/06/26 15.21M $7.32M
05/13/26 15.71M $10.92M
05/20/26 15.73M $4.61M
05/27/26 17.01M $7.86M
06/03/26 17.13M $7.83M
06/10/26 17.26M $10.50M
06/17/26 17.21M $29.73M
06/24/26 16.28M $18.12M
07/01/26 16.31M $28.35M
07/08/26 16.38M $18.94M
07/15/26 16.38M -$21.77M
07/22/26 16.51M $6.12M
07/29/26 17.61M $9.31M
08/05/26 18.08M $11.82M
08/12/26 18.16M $6.22M
08/19/26 18.43M $7.19M
08/26/26 17.36M -$3.49M
09/02/26 17.28M -$3.47M
09/09/26 17.48M $2.22M
09/16/26 17.68M $1.59M
Rolling Totals 17.68M
Cycle Date Options PNL Options PNL/Sh Shares Synthetic PNL Cash
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Cycle Date Options PNL Options PNL/Sh Shares Synthetic PNL Cash
11/05/25 $17.53M $0.874 20.06M -$5.92M -$296,344
11/12/25 $14.32M $0.709 20.21M -$135.52M -$13.93M
11/19/25 20.12M -$1.68M
11/26/25 19.02M -$8.52M
12/03/25 18.60M -$28.58M
12/10/25 1:10 split 17.91M $7.48M
12/17/25 17.96M $3.29M
12/24/25 17.61M -$4.14M
12/31/25 17.11M -$8.67M
01/07/26 16.43M -$13.70M
01/14/26 16.06M $11.43M
01/21/26 15.86M $10.47M
01/28/26 15.43M -$5.77M
02/04/26 14.86M -$106.10M
02/11/26 14.01M -$7.97M
02/18/26 14.58M $9.29M
02/25/26 14.06M -$2.58M
03/04/26 14.13M -$1.50M
03/11/26 13.63M -$2.09M
03/18/26 13.68M $7.04M
03/25/26 14.53M -$4.19M
04/01/26 14.81M $5.02M
04/08/26 15.01M $410,056
04/15/26 15.18M $5.97M
04/22/26 15.18M $0
04/29/26 14.88M $10.82M
05/06/26 15.21M $7.32M
05/13/26 15.71M $10.92M
05/20/26 15.73M $4.61M
05/27/26 17.01M $7.86M
06/03/26 17.13M $7.83M
06/10/26 17.26M $10.50M
06/17/26 17.21M $29.73M
06/24/26 16.28M $18.12M
07/01/26 16.31M $28.35M
07/08/26 16.38M $18.94M
07/15/26 16.38M -$21.77M
07/22/26 16.51M $6.12M
07/29/26 17.61M $9.31M
08/05/26 18.08M $11.82M
08/12/26 18.16M $6.22M
08/19/26 18.43M $7.19M
08/26/26 17.36M -$3.49M
09/02/26 17.28M -$3.47M
09/09/26 17.48M $2.22M
09/16/26 17.68M $1.59M
Rolling Totals 17.68M
Cycle Date Options PNL Options PNL/Sh Shares Synthetic PNL Cash
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CONY Dividends & Price Charts
Dividend Payments & Yield
Share Price

CONY Latest Holdings - 2026-09-09

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Holding Shares Price Type Expire Strike Last Price ITM/OTM Cost Basis Open PNL
COIN -9,375 $4.33Mark $4.33/sh · cost $16.56 · +$12.23/sh profit SYN PUT Sell 10/16/26 $150 $172.75 15.17% $16.56Avg sell $16.56/sh - mark $4.33
+$12.23/sh profit · 9,375 ct
$11.47MSold $16.56 → mark $4.33 · +$12.23/sh × 9,375 × 100 = $11,465,531 profit
COIN 9,375 $31.03Mark $31.03/sh · cost $17.75 · +$13.28/sh profit SYN CALL Buy 10/16/26 $150 $172.75 15.17% $17.75Avg buy $17.75/sh - mark $31.03
+$13.28/sh profit · 9,375 ct
$12.45MBought $17.75 → mark $31.03 · +$13.28/sh × 9,375 × 100 = $12,445,313 profit
COIN -10,090 $17.76Mark $17.76/sh · cost $17.76 · +$0.00/sh profit SYN PUT Sell 11/20/26 $170 $172.75 1.62% $17.76Avg sell $17.76/sh - mark $17.76
+$0.00/sh profit · 10,090 ct
$0Sold $17.76 → mark $17.76 · +$0.00/sh × 10,090 × 100 = $0 profit
COIN SYN CALL Buy 11/20/26
COIN CALL Sell 09/11/26
COIN CALL Sell 09/18/26
COIN CALL Sell 09/18/26
COIN CALL Sell 09/11/26
COIN CALL Buy 09/18/26
COIN CALL Buy 09/18/26
COIN CALL Buy 09/11/26
COIN CALL Buy 09/11/26
Total Open PNL $22.44M

CONY Trades

Total: -$106,985

Option Trades for Sep 9, 2026

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Date Holding Quantity Strike Price Trade PNL Expire Trade Type/Code
09/09/26 COIN 500 $192.50 $2.45 -$122,500 09/18/26 Buy CALL - B
09/09/26 COIN 500 $185 $4.04 $202,000 09/18/26 Sell Short CALL - SS
09/09/26 COIN 1,300 $205 $0.19 $24,700 09/11/26 Sell CALL - S
09/09/26 COIN 09/11/26 Buy to Cover CALL - BC
09/09/26 COIN 09/18/26 Sell Short CALL - SS
09/09/26 COIN 09/18/26 Buy CALL - B
09/09/26 COIN 11/20/26 Sell Short PUT - SS
09/09/26 COIN 11/20/26 Buy CALL - B
09/09/26 COIN 09/18/26 Buy to Cover PUT - BC
09/09/26 COIN 09/18/26 Sell CALL - S
09/09/26 COIN 09/11/26 Buy to Cover CALL - BC
09/09/26 COIN 09/18/26 Buy CALL - B
09/09/26 COIN 09/11/26 Sell CALL - S
09/09/26 COIN 09/18/26 Sell Short CALL - SS
09/09/26 COIN 09/18/26 Sell Short CALL - SS
09/09/26 COIN 09/18/26 Buy CALL - B
09/09/26 COIN 09/18/26 Buy CALL - B
09/09/26 COIN 09/18/26 Sell Short CALL - SS
09/09/26 COIN 09/11/26 Sell CALL - S
09/09/26 COIN 09/11/26 Buy to Cover CALL - BC
09/09/26 COIN 09/18/26 Buy CALL - B
09/09/26 COIN 09/18/26 Sell Short CALL - SS
09/09/26 COIN 09/11/26 Buy to Cover CALL - BC
09/09/26 COIN 09/11/26 Sell CALL - S
09/09/26 COIN 09/18/26 Sell Short CALL - SS
09/09/26 COIN 09/18/26 Buy CALL - B
Trades: 26 -$$106,985
Date Holding Quantity Strike Price Trade PNL Expire Trade Type/Code
Total: -$106,985



NOTES: Please read!

* YMTracker is in BETA, and some features or ETF reports may not be fully functional.

** YMTracker ALGO Estimate is NOT GUARANTEED to be accurate when YieldMax announces distributions.

NOTE: YMTracker is based on data from YieldMax daily holdings and trades files, and may not always be 100% accurate. In some cases YieldMax data files may be late or corrupt. We take no responsibility for accuracy of this data!