• $ GLDI
  • £ GLDE
  • YGLD
  • GLDY

Gold+ Yield ETP

Distribution Yield*: 12.00% *

*As of 29.04.2026 Past performance is not indicative of future results.

Key Information

Strategy
Covered Call
Reference Asset
GLD
Distributions
Monthly
Expense Ratio
0.35%
Inception Date
22 July 2024
Domicile
Ireland

Why Gold+ Yield ETP?

maximum-income

Maximum Income

upside-exposure

Upside Exposure

partial-downside-protection

Partial Downside Protection

The IncomeShares Gold+ Yield ETP seeks to provide exposure to gold while generating monthly income by selling ‘out-of-the-money’ call options on the SPDR® Gold Shares and paying a return on the premiums collected. The ETP aims to retain at least 3% upside exposure to the spot price of gold while harvesting compelling monthly yields.

Capital at risk. You may lose some or all of your investment.

Distribution Details

As of 29 Apr 2026

Distributions Per Share, $

Declaration Date Ex-Date Record Date Payment Date Distribution Per Share
30 Apr 2026 05 May 2026 06 May 2026 12 May 2026 $0.1443
31 Mar 2026 01 Apr 2026 02 Apr 2026 10 Apr 2026 $0.1438
27 Feb 2026 02 Mar 2026 03 Mar 2026 11 Mar 2026 $0.1655

Select period:

Your total return till today, given you'd invested $10,000.00 on 23 July 2024

Starting Amount
$10,000.00
Price Gain
$4,678.61
Price Growth (CAGR)
23.40%
Distributions
$2,096.28
Total Gain
$6,774.88
End Balance
$16,774.88
Total Return
67.75%
Total Return (CAGR)
32.76%
Distribution Calendar

Listings & Tickers

Country Exchange Base Currency Trading Currency Exchange Code ISIN SEDOL BBG Ticker RIC WKN Listing Date
UK London Stock Exchange USD USD GLDI XS2852999775 BPLQDK2 GLDI LN GLDI.L N/A 23 Jul 2024
UK London Stock Exchange USD GBP GLDE XS2852999775 BPLQDL3 GLDE LN GLDE.L N/A 23 Jul 2024
DE Deutsche Börse Xetra USD EUR YGLD XS2852999775 BQNKXK9 YGLD GY YGLD.DE A4AH1M 15 Nov 2024
NL Euronext Amsterdam USD EUR GLDY XS2852999775 BR4ZX99 GLDY NA GLDY.AS N/A 15 Oct 2025

Holdings

As of 29 Apr 2026

Full Holdings List (CSV)
Name Ticker Weight, % SEDOL Market Price Currency Shares Held Market Value
SPDR GOLD SHARES GLD 97.62% B046RT1 417.41 USD 88,692 37,020,900
Cash Cash_USD_56 2.49% Cash 1 USD 945,649 945,649
GLD May06'26 439.0 Call GLD 260506C00439000 -0.05% N/A 0.4503 USD -444 -19,993
GLD May06'26 438.0 Call GLD 260506C00438000 -0.06% N/A 0.4973 USD -443 -22,030

Net Asset Value

NAV (as of 29 Apr 2026)
$14.43
Daily Change (of NAV)
-$0.14
Daily Return (based on % NAV change)
-0.95%
Shares Outstanding
2,627,500
AUM
$37,924,553

Structure

Structure
ETP
Domicile
Ireland
Replication Method
Physical
Use of Income
Distributing
Physical Assets
Yes (Underlying securities)
Underlying Asset
GLD + short calls on SPDR Gold Trust ETF

Tax & Legal

UCITS Eligible
Yes
UK Fund Reporting Status
Pending
SIPP
Yes
ISA
Yes
US IRS Sec 871(m)
Not applicable

Key Services Providers

Issuer
Leverage Shares PLC
Arranger
Leverage Shares Management Company Limited
Trustee
Apex Corporate Trustees (UK) Limited
Issuing and Paying Agent
Elavon Financial Services DAC
Registrar
Elavon Financial Services DAC
Custodian
Interactive Brokers LLC and/or Morgan Stanley & Co LLC
Portfolio Administrators
Flexinvest Limited
Determination Agent
Calculation Agent Services LLC
Broker Dealer of Record
GWM Limited
Authorised Participants
Virtu Financial Ireland Limited

Related Articles

This is a marketing communication. Please refer to the Prospectus of the ETPs and to the KIID before making any final investment decisions.

This information originates from Investium Limited, which has been appointed as distributor of Leverage Shares products in Europe by Leverage Shares Management Company Limited (the “Arranger”). Investium Limited with registered address at 6 Nikou Georgiou Street, Office 302, 1095 Nicosia Cyprus, is a financial services provider regulated by the Cyprus Securities and Exchange Commission (CySEC).

The information is intended only to provide general and preliminary information to investors and shall not be construed as investment, legal or tax advice. Investium Limited and the Arranger (together referred as “Leverage Shares”) assume no liability with regards to any investment, divestment or retention decision taken by the investor on the basis of this information. The views and opinions expressed are those of the author(s) but not necessarily those of Leverage Shares. Opinions are current as of the publication date and are subject to change with market conditions. Certain statements contained herein may constitute projections, forecasts and other forward-looking statements, which do not reflect actual results. Information provided by third party sources is believed to be reliable and have not been independently verified for accuracy or completeness and cannot be guaranteed.

All performance information is based on historical data and does not predict future returns. Investing is subject to risk, including the possible loss of principal. No part of this material may be reproduced in any form, or referred to in any other publication, without express written permission of Leverage Shares.

© IncomeShares 2026