DRSK
Aptus Defined Risk ETF
An actively-managed strategy that seeks income and growth through a hybrid fixed income and equity approach. The strategy invests 90-95% of its assets to obtain exposure to investment-grade corporate bonds, with the remainder seeking gains in long-term in-the-money call options on selective large cap stocks and sectors.
Why DRSK?
- Broadly diversified income from intermediate-term, investment-grade corporate bonds without chasing yield or accepting long-duration risk
- Laddered approach to create annual redemption and redeployment to reduce reinvestment risk
- Intermediate-term options enable pursuit of 10-20 equity market opportunities, typically with 5-10% of capital at risk
Fund Details
Current as of 11/17/2025
| Fund Ticker | DRSK |
| Fund Name | Aptus Defined Risk ETF |
| Primary Exchange | Cboe |
| CUSIP | 26922A388 |
| ISIN | US26922A3885 |
| Net Assets | 1,434,529,748.47 |
| Expense Ratio | 0.78% |
| 30 Day Median Bid- Ask % | 0.24 |
| Inception Date | 08/07/2018 |
| Shares Outstanding | 49,675,000.00 |
| Distributor | Quasar Distributors |
| Advisor | Aptus Capital Advisors |
Fund Documents
*Premium Discount Disclaimer
The following Frequency Distribution of Premiums and Discounts chart is provided to show the frequency at which the closing price of the Fund was at a premium (above) or discount (below) to their daily net asset value (NAV). The chart represents past performance and cannot be used to predict future results. Shareholders may pay more than NAV when buying Fund shares and receive less than NAV when those shares are sold because shares are bought and sold at current market prices.
Fund Objectives
The Aptus Defined Risk ETF seeks current income and capital appreciation.
Fund Prices
Current as of 11/17/2025
| NAV | MARKET PRICE | ||
| Net Asset Value | 28.88 | Closing Price | 28.92 |
| Daily Change $ | -0.10 | Daily Change $ | -0.06 |
| Daily Change % | -0.34 | Daily Change % | -0.21 |
| Premium/Discount % | 0.14 |
Fund holdings are subject to change and should not be considered a recommendation to buy or sell any security.
Fund Distributions
| EX-DATE | RECORD DATE | PAYABLE DATE | INCOME | SHORT TERM CAPITAL GAIN | LONG TERM CAPITAL GAIN |
|---|---|---|---|---|---|
| 09/29/25 | 09/29/25 | 09/30/25 | $0.2635 | ||
| 06/27/25 | 06/27/25 | 06/30/25 | $0.2752 | ||
| 03/28/25 | 03/28/25 | 03/31/25 | $0.2006 | ||
| 12/30/24 | 12/30/24 | 12/31/24 | $0.3044 | ||
| 09/27/24 | 09/27/24 | 09/30/24 | $0.2137 | ||
| 06/27/24 | 06/28/24 | 06/29/24 | $0.2243 | ||
| 03/26/24 | 03/27/24 | 03/28/24 | $0.1650 | ||
| 12/27/23 | 12/28/23 | 12/29/23 | $0.2882 | ||
| 09/27/23 | 09/28/23 | 09/29/23 | $0.2493 | ||
| 06/28/23 | 06/29/23 | 06/30/23 | $0.2278 | ||
| 03/29/23 | 03/30/23 | 03/31/23 | $0.1338 | ||
| 12/28/22 | 12/29/22 | 12/30/22 | $0.2548 | ||
| 09/13/22 | 09/14/22 | 09/15/22 | $0.1605 | ||
| 06/14/22 | 06/15/22 | 06/16/22 | $0.0651 | ||
| 03/16/22 | 03/17/22 | 03/17/22 | $0.0128 | ||
| 12/29/21 | 12/30/21 | 12/31/21 | $0.0842 | ||
| 11/17/21 | 11/18/21 | 11/19/21 | $0 | $0.4405 | $0.0937 |
| 09/14/21 | 9/15/21 | 9/16/21 | $0.0565 | ||
| 06/15/21 | 6/16/21 | 6/17/21 | $0.0441 | ||
| 03/16/21 | 3/17/21 | 3/18/21 | $0.0426 | ||
| 12/29/20 | 12/30/20 | 12/31/20 | $0.1136 | ||
| 11/18/20 | 11/19/20 | 11/20/20 | $0 | $1.1350 | $0.1750 |
| 09/14/20 | 9/15/20 | 9/17/20 | $0.1130 | ||
| 06/16/20 | 6/17/20 | 6/18/20 | $0.0630 | ||
| 03/17/20 | 3/18/20 | 3/19/20 | $0.0710 | ||
| 12/30/19 | 12/31/19 | 1/2/20 | $0.1136 | $0.3154 | |
| 09/17/19 | 9/18/19 | 9/19/19 | $0.0978 | ||
| 06/11/19 | 6/12/19 | 6/13/19 | $0.1347 | ||
| 03/12/19 | 3/13/19 | 3/14/19 | $0.0840 | ||
| 12/28/18 | 12/31/18 | 1/02/19 | $0.1451 | $0.47 | |
| 09/18/18 | 9/19/18 | 9/20/18 | $0.0382 |
This fund is expected to pay at least one more distribution before year end. The figures represent estimates and are subject to change based on portfolio, market, and shareholder activity and tax adjustments. Actual distributions will be based on shares outstanding as of the record date. The net asset value of a fund with a distribution will drop on the ex-date by the amount of the distribution. Keep in mind that market conditions, portfolio changes and/or changes in outstanding fund shares could affect these estimates substantially. This information is NOT FINAL and is subject to change until the ex-dividend date. All data subject to change. Actual distributions will be posted on the aptusetfs.com site after each fund’s ex-dividend date. Aptus does not provide tax, accounting or legal advice. Any tax statements contained herein were not intended or written to be used, and cannot be used for the purpose of avoiding U.S., federal, state or local tax penalties. Clients should consult their advisor as to any tax, accounting or legal statements made herein. Specific questions regarding your clients’ personal income tax situation should be referred to a tax advisor.
Fund Performance
| Monthly as of 10/31/2025 |
Quarterly as 09/30/2025 |
|||
| NAV % | Market % | NAV % | Market % | |
| 1 Month | 2.2 | 2.53 | 1.13 | 0.98 |
| 3 Month | 4.31 | 4.74 | 1.58 | 1.23 |
| 1 Year | 11.06 | 11.3 | 5.76 | 5.71 |
| 3 Year | 9.02 | 9.21 | 8.06 | 8.05 |
| 5 Year | 3.32 | 3.34 | 2.51 | 2.45 |
| YTD | 10.42 | 10.6 | 8.04 | 7.87 |
| Since Inception | 51.77 | 52.19 | 48.5 | 48.43 |
| Since Inception Annualized | 5.94 | 5.98 | 5.69 | 5.68 |
Cumulative return is the aggregate amount that an investment has gained or lost over time. Annualized Return is the average return gained or lost by an investment each year over a given time period. Performance is annualized for periods greater than 1 year.
Performance quoted represents past performance, which is no guarantee of future results. Investment return and principal value will fluctuate, so you may have a gain or loss when shares are sold. Current performance may be higher or lower than that quoted. Short-term performance in particular is not a good indication of the fund’s future performance and an investment should not be made solely on returns.
Market Price: The current price at which shares are bought and sold. Market returns are based upon the last trade price.
NAV: The dollar value of a single share, based on the value of the underlying assets of the fund minus its liabilities, divided by the number of shares outstanding. Calculated at the end of each business day.
DRSK Fund Holdings
Current as of 11/17/2025
| Stock Ticker | Cusip | Security Desc | Shares | Price | Market Value | Weightings | Effective Date |
|---|---|---|---|---|---|---|---|
| BSCT | 46138J577 | Invesco BulletShares 2029 Corporate Bond ETF | 3,426,423.00 | 18.81 | 64,451,016.63 | 4.48% | 11/18/2025 |
| BSCU | 46138J460 | Invesco BulletShares 2030 Corporate Bond ETF | 8,885,144.00 | 16.88 | 149,981,230.72 | 10.42% | 11/18/2025 |
| BSCV | 46138J429 | Invesco Bulletshares 2031 Corporate Bond ETF | 10,272,346.00 | 16.64 | 170,931,837.44 | 11.88% | 11/18/2025 |
| BSCW | 46139W858 | Invesco BulletShares 2032 Corporate Bond ETF | 8,441,340.00 | 20.82 | 175,748,698.80 | 12.21% | 11/18/2025 |
| BSCX | 46139W825 | Invesco BulletShares 2033 Corporate Bond ETF | 6,773,215.00 | 21.38 | 144,811,336.70 | 10.06% | 11/18/2025 |
| CRM 251219C00280000 | CRM 251219C00280000 | CRM US 12/19/25 C280 | 15,000.00 | 2.44 | 3,652,500.00 | 0.25% | 11/18/2025 |
| CRM 251219C00320000 | CRM 251219C00320000 | CRM US 12/19/25 C320 | -15,000.00 | 0.49 | -727,500.00 | -0.05% | 11/18/2025 |
| DASH 251121C00290000 | DASH 251121C00290000 | DASH US 11/21/25 C290 | 10,000.00 | 0.02 | 15,000.05 | 0.00% | 11/18/2025 |
| DASH 251121C00340000 | DASH 251121C00340000 | DASH US 11/21/25 C340 | -20,000.00 | 0.11 | -220,000.10 | -0.02% | 11/18/2025 |
| DASH 251121C00380000 | DASH 251121C00380000 | DASH US 11/21/25 C380 | 10,000.00 | 0.03 | 25,000.05 | 0.00% | 11/18/2025 |
| HYG 260116P00072000 | HYG 260116P00072000 | HYG US 01/16/26 P72 | -50,000.00 | 0.09 | -425,000.00 | -0.03% | 11/18/2025 |
| HYG 260116P00078000 | HYG 260116P00078000 | HYG US 01/16/26 P78 | 50,000.00 | 0.42 | 2,100,000.00 | 0.15% | 11/18/2025 |
| IBDS | 46435UAA9 | iShares iBonds Dec 2027 Term Corporate ETF | 2,900,192.00 | 24.28 | 70,416,661.76 | 4.89% | 11/18/2025 |
| IBDU | 46436E205 | iShares iBonds Dec 2029 Term Corporate ETF | 6,557,293.00 | 23.36 | 153,178,364.48 | 10.65% | 11/18/2025 |
| IBDV | 46436E726 | iShares iBonds Dec 2030 Term Corporate ETF | 5,842,395.00 | 22.03 | 128,707,961.85 | 8.95% | 11/18/2025 |
| IBDW | 46436E486 | iShares iBonds Dec 2031 Term Corporate ETF | 7,149,388.00 | 21.09 | 150,780,592.92 | 10.48% | 11/18/2025 |
| IBDX | 46436E312 | iShares iBonds Dec 2032 Term Corporate ETF | 4,790,216.00 | 25.46 | 121,958,899.36 | 8.48% | 11/18/2025 |
| INTC 260320C00040000 | INTC 260320C00040000 | INTC US 03/20/26 C40 | 25,000.00 | 2.76 | 6,887,500.00 | 0.48% | 11/18/2025 |
| INTC 260320C00060000 | INTC 260320C00060000 | INTC US 03/20/26 C60 | -25,000.00 | 0.36 | -887,500.00 | -0.06% | 11/18/2025 |
| KVUE 251121C00019000 | KVUE 251121C00019000 | KVUE US 11/21/25 C19 | 50,000.00 | 0.05 | 225,000.00 | 0.02% | 11/18/2025 |
| KVUE 251121C00023000 | KVUE 251121C00023000 | KVUE US 11/21/25 C23 | -50,000.00 | 0.01 | -25,000.25 | 0.00% | 11/18/2025 |
| LLY 260116C01060000 | LLY 260116C01060000 | LLY US 01/16/26 C1060 | 3,200.00 | 46.30 | 14,816,000.00 | 1.03% | 11/18/2025 |
| LLY 260116C01200000 | LLY 260116C01200000 | LLY US 01/16/26 C1200 | -3,200.00 | 12.75 | -4,080,000.00 | -0.28% | 11/18/2025 |
| MRK 260417C00100000 | MRK 260417C00100000 | MRK US 04/17/26 C100 | 25,000.00 | 4.15 | 10,375,000.00 | 0.72% | 11/18/2025 |
| NDXP 251205P18000000 | NDXP 251205P18000000 | NDXP US 12/05/25 P18000 | -350.00 | 8.50 | -297,500.00 | -0.02% | 11/18/2025 |
| NDXP 251205P21500000 | NDXP 251205P21500000 | NDXP US 12/05/25 P21500 | 350.00 | 42.50 | 1,487,500.00 | 0.10% | 11/18/2025 |
| NVDA 251128C00210000 | NVDA 251128C00210000 | NVDA US 11/28/25 C210 | 10,000.00 | 1.38 | 1,375,000.00 | 0.10% | 11/18/2025 |
| NVDA 251128C00220000 | NVDA 251128C00220000 | NVDA US 11/28/25 C220 | -10,000.00 | 0.64 | -640,000.00 | -0.04% | 11/18/2025 |
| NVDA 251226C00220000 | NVDA 251226C00220000 | NVDA US 12/26/25 C220 | 25,000.00 | 2.44 | 6,087,500.00 | 0.42% | 11/18/2025 |
| NVDA 251226C00250000 | NVDA 251226C00250000 | NVDA US 12/26/25 C250 | -25,000.00 | 0.60 | -1,500,000.00 | -0.10% | 11/18/2025 |
| SNAP 260618C00013000 | SNAP 260618C00013000 | SNAP US 06/18/26 C13 | 100,000.00 | 0.58 | 5,750,000.00 | 0.40% | 11/18/2025 |
| SPX 260116C07600000 | SPX 260116C07600000 | SPX US 01/16/26 C7600 | 10,000.00 | 2.30 | 2,300,000.00 | 0.16% | 11/18/2025 |
| SPX 260116C07900000 | SPX 260116C07900000 | SPX US 01/16/26 C7900 | -10,000.00 | 0.65 | -650,000.00 | -0.05% | 11/18/2025 |
| SPXW 251231C06950000 | SPXW 251231C06950000 | SPXW US 12/31/25 C6950 | 2,450.00 | 47.50 | 11,637,500.00 | 0.81% | 11/18/2025 |
| SPXW 251231C07300000 | SPXW 251231C07300000 | SPXW US 12/31/25 C7300 | -2,450.00 | 4.45 | -1,090,250.00 | -0.08% | 11/18/2025 |
| SPXW 251231P06100000 | SPXW 251231P06100000 | SPXW US 12/31/25 P6100 | -800.00 | 41.55 | -3,324,000.00 | -0.23% | 11/18/2025 |
| SPXW 251231P06600000 | SPXW 251231P06600000 | SPXW US 12/31/25 P6600 | 800.00 | 125.40 | 10,032,000.00 | 0.70% | 11/18/2025 |
| TSLA 251219C00500000 | TSLA 251219C00500000 | TSLA US 12/19/25 C500 | 4,000.00 | 4.25 | 1,700,000.00 | 0.12% | 11/18/2025 |
| TSLA 251219C00600000 | TSLA 251219C00600000 | TSLA US 12/19/25 C600 | -4,000.00 | 0.70 | -280,000.00 | -0.02% | 11/18/2025 |
| Cash&Other | Cash&Other | Cash & Other | 43,551,108.57 | 1.00 | 43,551,108.57 | 3.03% | 11/18/2025 |
Holdings are subject to change without notice.