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About Castellan Targeted Income ETF
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Inception date
Jun 25, 2025
Structure
Open-Ended Fund
Replication method
Physical
Dividend treatment
Distributes
Distribution tax treatment
Qualified dividends
Income tax type
Capital Gains
Max ST capital gains rate
39.60%
Max LT capital gains rate
20.00%
Primary advisor
Empowered Funds LLC
Distributor
Pine Distributors LLC
Identifiers
3
ISIN US02072Q4819
CTIF seeks current income and capital appreciation opportunities by investing in companies that have a 10-year history of growing their dividend. The portfolio is composed of an equity and an options sleeve. The equity sleeve uses a rules-based quantitative screening process that evaluates various factors, such as financial leverage, earnings, free cash flows, payout ratios, and industry leadership. It selects up to 50 stocks with financial strength that demonstrate growth in free cash flows, earnings, and dividends. The fund also considers a companys management and its ability to allocate capital. The options sleeve involves selling covered call options on up to 20% of the equity holdings, if considered advantageous. If options are written, the portfolio manager aims to write out-of-the-money, short-term contracts as a possible way to increase income. As an actively managed ETF, the fund has full discretion to adjust the portfolio at any time.
Classification
Returns
| 1 month | 3 months | Year to date | 1 year | 3 years | 5 years | |
|---|---|---|---|---|---|---|
| Price performance | — | — | — | — | — | — |
| NAV total return | — | — | — | — | — | — |
What's in the fund
Exposure type
Producer Manufacturing
Technology Services
Electronic Technology
Stocks98.19%
Producer Manufacturing28.91%
Technology Services17.31%
Electronic Technology15.88%
Consumer Durables5.46%
Distribution Services4.89%
Retail Trade4.71%
Finance4.55%
Consumer Non-Durables4.42%
Health Services4.33%
Process Industries4.13%
Health Technology3.40%
Bonds, Cash & Other1.81%
ETF0.95%
Mutual fund0.84%
Cash0.23%
Rights & Warrants−0.21%
Stock breakdown by region
North America90.75%
Europe9.25%
Latin America0.00%
Asia0.00%
Africa0.00%
Middle East0.00%
Oceania0.00%
Top 10 holdings
Dividends
Dividend payout history
Assets under management (AUM)
Fund Flows
Frequently Asked Questions
CTIF invests in stocks. The fund's major sectors are Producer Manufacturing, with 28.97% stocks, and Technology Services, with 17.35% of the basket. The assets are mostly located in the North America region.
CTIF top holdings are Caterpillar Inc. and Parker-Hannifin Corporation, occupying 7.19% and 6.76% of the portfolio correspondingly.
CTIF last dividends amounted to 0.64 USD. The quarter before, the issuer paid 0.64 USD in dividends, which shows a 0.13% decrease.
CTIF assets under management is 166.07 M USD. It's risen 8.69% over the last month.
CTIF fund flows account for 54.18 M USD (1 year). Many traders use this metric to get insight into investors' sentiment and evaluate whether it's time to buy or sell the fund.
Yes, CTIF pays dividends to its holders with the dividend yield of 4.92%. The last dividend (Dec 24, 2025) amounted to 0.64 USD. The dividends are paid quarterly.
CTIF shares are issued by Empirical Finance LLC under the brand Castellan. The ETF was launched on Jun 25, 2025, and its management style is Active.
CTIF expense ratio is 0.45% meaning you'd have to pay 0.45% of your investment to help manage the fund.
CTIF follows the No Underlying Index. ETFs usually track some benchmark seeking to replicate its performance and guide asset selection and objectives.
CTIF invests in stocks.
CTIF price has risen by 2.14% over the last month, and its yearly performance shows a 4.86% increase. See more dynamics on CTIF price chart.
NAV returns, another gauge of an ETF dynamics, have risen by 2.98% over the last month, showed a 3.89% increase in three-month performance and has increased by 3.59% in a year.
NAV returns, another gauge of an ETF dynamics, have risen by 2.98% over the last month, showed a 3.89% increase in three-month performance and has increased by 3.59% in a year.
CTIF trades at a premium (0.02%) meaning the ETF is trading at a higher price than the calculated NAV.