Yieldmax Magnificent 7 Fund Of Option Income ETF ETF · Tidal Trust II
8 holdings · as of 2026-04-30 (4.4 months ago) The fund may have traded since. SEC Form N-PORT is filed quarterly and lags the period it covers, so these are the most recent holdings on file, not the fund’s holdings today.
UNVERIFIED None of this fund's 8 holdings matched a company in our screened universe. It does file equity positions — the shortfall is in our matching, not in the fund, and it can close on a later screen. Usually this is foreign listings or naming we have not yet resolved.
Largest holdings: YieldMax GOOGL Option Income S, Yieldmax Amzn Option Income ETF, YieldMax AAPL Option Income Strategy ETF, Yieldmax Tsla Option Income ETF, YieldMax MSFT Option Income Strategy ETF.
8 holdings, 0 matched (0% of weight). Portfolio as of 2026-04-30, filed 2026-06-25. Source: SEC Form N-PORT.
Portfolio shares are withheld: coverage is below the floor needed to state one. The holdings themselves are below, because the names are evidence you can check.
| Holding | Status | Weight | Every methodology, and the debt ratio behind it |
|---|---|---|---|
| YieldMax GOOGL Option Income S | UNSCREENED | 15.58% | no in-house ratios for this holding |
| Yieldmax Amzn Option Income ETF | UNSCREENED | 14.32% | no in-house ratios for this holding |
| YieldMax AAPL Option Income Strategy ETF | UNSCREENED | 14.10% | no in-house ratios for this holding |
| Yieldmax Tsla Option Income ETF | UNSCREENED | 13.82% | no in-house ratios for this holding |
| YieldMax MSFT Option Income Strategy ETF | UNSCREENED | 13.76% | no in-house ratios for this holding |
| YieldMax NVDA Option Income Strategy ETF | UNSCREENED | 13.72% | no in-house ratios for this holding |
| Yieldmax Meta Option Income Strategy ETF | UNSCREENED | 12.84% | no in-house ratios for this holding |
| First American Government Obli | UNSCREENED | 0.50% | no in-house ratios for this holding |
Methodology breakdown computing — it will appear here on its own.
Computing the full ratio and business-activity breakdown for YMAG — 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) | 59.00 | NEUTRAL |
| Stochastic %K (14) | 67.55 | NEUTRAL |
| CCI (20) | 81.64 | NEUTRAL |
| Williams %R (14) | -32.45 | NEUTRAL |
| MACD (12,26,9) | 0.01 | BUY |
| ROC (10) | 2.26 | BUY |
| Momentum (10) | 0.25 | BUY |
| EMA (10) | 11.13 | BUY |
| SMA (10) | 11.13 | BUY |
| EMA (20) | 11.06 | BUY |
| SMA (20) | 11.03 | BUY |
| EMA (30) | 11.01 | BUY |
| SMA (30) | 11.00 | BUY |
| EMA (50) | 10.94 | BUY |
| SMA (50) | 10.90 | BUY |
| EMA (100) | 10.84 | BUY |
| SMA (100) | 10.93 | BUY |
| EMA (200) | 10.71 | BUY |
| SMA (200) | 10.68 | BUY |
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 is a “fund of funds,” meaning that it primarily invests its assets in the shares of other ETFs, rather than in securities of individual companies. Under normal circumstances, the fund will be nearly fully invested in the seven Underlying YieldMax™ ETFs; provided that for tax purposes, instead of investing in a particular Underlying YieldMax™ ETF, the fund may invest directly in substantially the same instruments held by that same Underlying YieldMax™ ETF. The fund is non-diversified.
Background via Yahoo Finance — informational, not part of the verdict.
Good setup, solid confluence
| Timeframe | Bias | Bars |
|---|---|---|
| 📅 Daily | BULLISH | 43 |
| ⏰ 4H | BULLISH | 41 |
| 🕐 1H | BEARISH | 98 |
| ⏱ 15-Min | BULLISH | 130 |
| ⏲ 5-Min | RANGING | 234 |
Peer movement computing — it will appear here on its own.
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.