YieldMax Magnificent 7 Fund of Option Income ETFs (YMAG)
NYSEARCA: YMAG · Real-Time Price · USD
14.71
+0.06 (0.41%)
Dec 5, 2025, 4:00 PM EST - Market closed

YMAG Dividend Information

YMAG has a dividend yield of 50.22% and paid $7.39 per share in the past year. The dividend is paid once per week and the last ex-dividend date was Dec 3, 2025.

Dividend Yield
50.22%
Annual Dividend
$7.39
Ex-Dividend Date
Dec 3, 2025
Payout Frequency
Weekly
Payout Ratio
n/a
Dividend Growth
n/a

Dividend History

Ex-Div Date AmountRecord DatePay Date
2025-12-03$0.09742025-12-032025-12-04
2025-11-26$0.12272025-11-262025-11-28
2025-11-19$0.09412025-11-192025-11-20
2025-11-12$0.17412025-11-122025-11-13
2025-11-05$0.13192025-11-052025-11-06
2025-10-29$0.13462025-10-292025-10-30
2025-10-22$0.21672025-10-222025-10-23
2025-10-15$0.20092025-10-152025-10-16
2025-10-09$0.2092025-10-092025-10-10
2025-10-02$0.09892025-10-022025-10-03
2025-09-25$0.15232025-09-252025-09-26
2025-09-18$0.13962025-09-182025-09-19
2025-09-11$0.14272025-09-112025-09-12
2025-09-04$0.08292025-09-042025-09-05
2025-08-28$0.1182025-08-282025-08-29
2025-08-21$0.14862025-08-212025-08-22
2025-08-14$0.16172025-08-142025-08-15
2025-08-07$0.07982025-08-072025-08-08
2025-07-31$0.0752025-07-312025-08-01
2025-07-24$0.20332025-07-242025-07-25
2025-07-17$0.15152025-07-172025-07-18
2025-07-10$0.12632025-07-102025-07-11
2025-07-03$0.05542025-07-032025-07-07
2025-06-26$0.15742025-06-262025-06-27
2025-06-20$0.16912025-06-202025-06-23
2025-06-12$0.17092025-06-122025-06-13
2025-06-05$0.20892025-06-052025-06-06
2025-05-29$0.29292025-05-292025-05-30
2025-05-22$0.25952025-05-222025-05-23
2025-05-15$0.19982025-05-152025-05-16
2025-05-08$0.10592025-05-082025-05-09
2025-05-01$0.1012025-05-012025-05-02
2025-04-24$0.09242025-04-242025-04-25
2025-04-17$0.09432025-04-172025-04-21
2025-04-10$0.09732025-04-102025-04-11
2025-04-03$0.09712025-04-032025-04-04
2025-03-27$0.08372025-03-272025-03-28
2025-03-20$0.0852025-03-202025-03-21
2025-03-13$0.14452025-03-132025-03-14
2025-03-06$0.15142025-03-062025-03-07
2025-02-27$0.1762025-02-272025-02-28
2025-02-20$0.13692025-02-202025-02-21
2025-02-13$0.05092025-02-132025-02-14
2025-02-06$0.18622025-02-062025-02-07
2025-01-30$0.18982025-01-302025-01-31
2025-01-23$0.10022025-01-232025-01-24
2025-01-16$0.0502025-01-162025-01-17
2025-01-08$0.15782025-01-082025-01-10
2025-01-03$0.31022025-01-032025-01-06
2024-12-27$0.17422024-12-272024-12-30
2024-12-19$0.05922024-12-192024-12-20
2024-12-12$0.1682024-12-122024-12-13
2024-12-05$0.2772024-12-052024-12-06
2024-11-29$0.20292024-11-292024-12-02
2024-11-21$0.06062024-11-212024-11-22
2024-11-14$0.21042024-11-142024-11-15
2024-11-07$0.20652024-11-072024-11-08
2024-10-31$0.15282024-10-312024-11-01
2024-10-24$0.05452024-10-242024-10-25
2024-10-17$0.22612024-10-172024-10-18
2024-10-10$0.28232024-10-102024-10-11
2024-10-03$0.16442024-10-032024-10-04
2024-09-26$0.17012024-09-262024-09-27
2024-09-19$0.19792024-09-192024-09-20
2024-08-15$0.57612024-08-152024-08-16
2024-07-17$0.63652024-07-172024-07-18
2024-06-14$0.67732024-06-142024-06-17
2024-05-15$0.63692024-05-162024-05-17
2024-04-17$0.62262024-04-182024-04-19
2024-03-14$0.5922024-03-152024-03-18
2024-02-15$0.43062024-02-162024-02-20
* Dividend amounts are adjusted for stock splits when applicable.

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