UNVERIFIED This ticker is not a registered fund that files Form N-PORT (a unit investment trust, for example), so its holdings are not disclosed here.
Methodology breakdown computing — it will appear here on its own.
Computing the full ratio and business-activity breakdown for XRPM — this runs off the critical path so the page paints first. It will appear here on its own.
Pinch or scroll to zoom · drag to pan — both axes move · double-click to reset
Classic floor-trader pivots from the last completed daily bar. Highlighted pills are the levels bracketing the current price.
The range is measured volatility (ATR over the horizon), not a target — a wider band means a more volatile asset, not a stronger view. The direction is the indicator tally above. Every forecast is recorded when made and scored against the real price when it comes due, including the wrong ones. Not a recommendation, and not a fatwa.
| Indicator | Value | Signal |
|---|---|---|
| RSI (14) | 46.90 | NEUTRAL |
| Stochastic %K (14) | 20.92 | NEUTRAL |
| CCI (20) | -33.20 | NEUTRAL |
| Williams %R (14) | -79.08 | NEUTRAL |
| MACD (12,26,9) | -0.01 | SELL |
| ROC (10) | -2.12 | SELL |
| Momentum (10) | -0.22 | SELL |
| EMA (10) | 10.33 | SELL |
| SMA (10) | 10.36 | SELL |
| EMA (20) | 10.28 | SELL |
| SMA (20) | 10.24 | SELL |
| EMA (30) | 10.27 | SELL |
| SMA (30) | 10.13 | SELL |
| EMA (50) | 10.37 | SELL |
| SMA (50) | 10.19 | SELL |
| EMA (100) | 11.15 | SELL |
| SMA (100) | 10.94 | SELL |
| EMA (200) | 13.08 | SELL |
| SMA (200) | 13.04 | SELL |
Standard indicator thresholds (RSI 30/70, Stochastic 20/80, CCI ±100, Williams %R −80/−20, MACD histogram sign, price vs. average) computed on daily bars. A summary of what common indicators say — not a recommendation, and not this site's own trading verdict.
The fund seeks to participate in the price return of XRP (“XRP Price”) and to generate a high level of annualized option premium by selling options on U.S.-regulated ETFs that provide exposure to XRP (“XRP ETPs”). The fund will seek to vary its option selling each week to a level sufficient to generate 36% annualized option premium (the “Target Option Premium”), based upon the NAV of the fund each time the fund sells the weekly options contracts. The fund is non-diversified.
Background via Yahoo Finance — informational, not part of the verdict.
Average — needs more confirmation before sizing up
| Timeframe | Bias | Bars |
|---|---|---|
| 📅 Daily | BEARISH | 43 |
| 🕐 1H | BEARISH | 47 |
| ⏱ 15-Min | BEARISH | 130 |
| ⏲ 5-Min | BEARISH | 234 |
NO DATA 0 buys · 0 sells
NEUTRAL report date 2026-09-01 · Asset managers net 934180 (-19048)
Plain-language summary of the evidence already on this page — the Sharia screen, structure, momentum, and order flow above. It explains the read; it doesn't make the call. Generated on demand (a live AI call), never run automatically.