Innovator ETFs Trust Innovator Premium Income 30 Barrier ETF - JanuaryII

Innovator ETFs Trust Innovator Premium Income 30 Barrier ETF - January

24.88USDR
+0.01+0.02%
At close at Mar 25, 19:59 GMT
USD
No trades
See on Supercharts

Key stats


Assets under management (AUM)
‪18.60 M‬USD
Fund flows (1Y)
‪−4.97 M‬USD
Dividend yield (indicated)
5.54%
Discount/Premium to NAV
0.008%
Shares outstanding
‪750.00 K‬
Expense ratio
0.79%

About Innovator ETFs Trust Innovator Premium Income 30 Barrier ETF - January


Issuer
Innovator Capital Management LLC
Brand
Innovator
Inception date
Jan 2, 2024
Structure
Open-Ended Fund
Index tracked
No Underlying Index
Management style
Active
Dividend treatment
Distributes
Distribution tax treatment
Ordinary income
Income tax type
Capital Gains
Max ST capital gains rate
39.60%
Max LT capital gains rate
20.00%
Primary advisor
Innovator Capital Management LLC
Distributor
Foreside Fund Services LLC
JANJ provides no upside potential. Instead, it aims for a defined rate of income and downside protection over a one-year period starting each January. The actively managed portfolio consists of i) US Treasurys maturing on each quarterly distribution date, ii) out-of-the-money S&P 500 put FLEX options sold to provide one-to-one downside exposure, and iii) put spread FLEX options on the S&P 500 Index which serve as the barrier. The fund invests net premiums generated from the purchased and sold puts in US Treasurys. At each outcome period, the fund seeks to provide income through a defined distribution rate and a barrier against 30% of losses. In exchange for this barrier, investors forgo any upside participation. After the barrier level is breached, investors take on the full downside of index returns. The fund must be held during the entire return period to pursue intended results. Investors who buy at any other time than the annual reset may have a different investment return.

Classification


Asset Class
Equity
Category
Size and style
Focus
Large cap
Niche
Broad-based
Strategy
Buy-write
Geography
U.S.
Weighting scheme
Fixed
Selection criteria
Fixed

Returns


1 month3 monthsYear to date1 year3 years5 years
Price performance
NAV total return

What's in the fund


As of March 24, 2025
Exposure type
Bonds, Cash & Other
Government
Bonds, Cash & Other100.00%
Government101.67%
Cash−0.03%
Rights & Warrants−1.64%
Stock breakdown by region
100%
North America100.00%
Latin America0.00%
Europe0.00%
Asia0.00%
Africa0.00%
Middle East0.00%
Oceania0.00%
Top 10 holdings
Symbol
Assets
Symbol
Assets
U
United States Treasury Bills 0.0% 26-DEC-2025
97.93%
U
United States Treasury Bills 0.0% 27-MAR-2025
1.26%
U
United States Treasury Bills 0.0% 26-JUN-2025
1.25%
U
United States Treasury Bills 0.0% 04-SEP-2025
1.24%
U
U.S. Dollar
−0.03%
O
OPTIONS
−1.64%
Top 10 weight100.00%
6 total holdings

Dividends


Mar '24
Jun '24
Sep '24
Dec '24
Dec '24
‪0.00‬
‪0.10‬
‪0.20‬
‪0.30‬
‪0.40‬
Dividend amount
Dividend payout history
Ex-date
Record date
Pay date
Amount
Frequency
Dec 31, 2024
Dec 31, 2024
Jan 2, 2025
0.343
Monthly
Dec 31, 2024
Dec 31, 2024
Jan 2, 2025
0.002
Other
Sep 30, 2024
Sep 30, 2024
Oct 4, 2024
0.345
Quarterly
Jun 28, 2024
Jun 28, 2024
Jul 1, 2024
0.345
Quarterly
Mar 27, 2024
Mar 28, 2024
Apr 1, 2024
0.345
Other

Assets under management (AUM)



Fund Flows