Environment=PROD|Report Date=2025-05-02|Record Count=157 Symbol|Issue Name|Issue Type|Currency|Outstanding Shares|Corporate Action Type|Corporate Action ID|Corporate Action Status|Cancellation Reason|Declaration Date|Updated Date|Frequency|Ex-Date|Record Date|Payment Date|Cash Amount|Stock Amount|Rights Exercise Price|Rights Expiration Date|Notes AAPW|Roundhill AAPL WeeklyPay ETF|ETF|USD|n/a|Cash Dividend|21893|Added||2025-05-02|2025-05-02|Weekly|2025-05-05|2025-05-05|2025-05-06|0.320112|||| ARCM|Arrow Reserve Capital Management ETF|ETF|USD|n/a|Cash Dividend|21733|Unchanged||2025-04-29|2025-04-29|Monthly|2025-04-30|2025-04-30|2025-05-05|0.3728|||| BALI|iShares Advantage Large Cap Income ETF|ETF|USD|n/a|Cash Dividend|21760|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.38195|||| BBHY|JPMorgan BetaBuilders USD High Yield Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|21802|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.35278|||| BBIB|JPMorgan BetaBuilders U.S. Treasury Bond 3-10 Year ETF|ETF|USD|n/a|Cash Dividend|21797|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.33709|||| BBLB|JPMorgan BetaBuilders U.S. Treasury Bond 20+ Year ETF|ETF|USD|n/a|Cash Dividend|21803|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.38505|||| BBSB|JPMorgan BetaBuilders U.S. Treasury Bond 1-3 Year ETF|ETF|USD|n/a|Cash Dividend|21795|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.35745|||| BEMB|iShares J.P. Morgan Broad USD Emerging Markets Bond ETF|ETF|USD|n/a|Cash Dividend|21772|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.271789|||| BHYB|Xtrackers USD High Yield BB-B ex Financials ETF|ETF|USD|n/a|Cash Dividend|21747|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-08|0.30566|||| BRLN|iShares Floating Rate Loan Active ETF|ETF|USD|n/a|Cash Dividend|21773|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.304361|||| CEMB|iShares J.P Morgan EM Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|21774|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.19865|||| COIW|Roundhill COIN WeeklyPay ETF|ETF|USD|n/a|Cash Dividend|21897|Added||2025-05-02|2025-05-02|Weekly|2025-05-05|2025-05-05|2025-05-06|0.516726|||| EAOK|iShares ESG Aware 30/70 Conservative Allocation ETF|ETF|USD|n/a|Cash Dividend|21841|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-07|0.057861|||| EMHY|iShares J.P. Morgan EM High Yield Bond ETF|ETF|USD|n/a|Cash Dividend|21775|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.218152|||| EMTL|SPDR DoubleLine Emerging Markets Fixed Income ETF|ETF|USD|n/a|Cash Dividend|21817|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.186877|||| FIBR|iShares U.S. Fixed Income Balanced Risk Systematic ETF|ETF|USD|n/a|Cash Dividend|21776|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.382526|||| FLBL|Franklin Senior Loan ETF|ETF|USD|n/a|Cash Dividend|21755|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.147191|||| FLHY|Franklin High Yield Corporate ETF |ETF|USD|n/a|Cash Dividend|21756|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.147498|||| FLIA|Franklin International Aggregate Bond ETF|ETF|USD|n/a|Cash Dividend|21754|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0|||| FLOT|iShares Floating Rate Bond ETF|ETF|USD|n/a|Cash Dividend|21777|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.208038|||| GEMD|Goldman Sachs Access Emerging Markets USD Bond ETF|ETF|USD|n/a|Cash Dividend|21759|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-07|0.48969|||| GHYG|iShares US & Intl High Yield Corp Bond ETF|ETF|USD|n/a|Cash Dividend|21778|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.221584|||| GOVT|iShares U.S. Treasury Bond ETF|ETF|USD|n/a|Cash Dividend|21762|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.064132|||| GOVZ|iShares 25+ Year Treasury STRIPS Bond ETF|ETF|USD|n/a|Cash Dividend|21763|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.039406|||| GSST|Goldman Sachs Ultra Short Bond ETF|ETF|USD|n/a|Cash Dividend|21758|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-07|0.19666|||| GTIP| Goldman Sachs Access Inflation Protected USD Bond ETF|ETF|USD|n/a|Cash Dividend|21757|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-07|0.28894|||| GVI|iShares Intermediate Government/Credit Bond ETF|ETF|USD|n/a|Cash Dividend|21779|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.307755|||| HIMU|iShares High Yield Muni Active ETF|ETF|USD|n/a|Cash Dividend|21780|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.208243|||| HYBL|SPDR Blackstone High Income ETF|ETF|USD|n/a|Cash Dividend|21823|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.163128|||| HYD|VanEck High Yield Muni ETF|ETF|USD|n/a|Cash Dividend|21828|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.172|||| HYDB|iShares High Yield Systematic Bond ETF|ETF|USD|n/a|Cash Dividend|21781|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.293814|||| HYGW|iShares High Yield Corporate Bond BuyWrite Strategy ETF|ETF|USD|n/a|Cash Dividend|21843|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-07|0.560282|||| HYHG|ProShares High Yield-Interest Rate Hedged ETF|ETF|USD|n/a|Cash Dividend|21812|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-07|0.387895|||| IBHE|iShares iBonds 2025 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|21782|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.101436|||| IBHF|iShares iBonds 2026 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|21783|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.129588|||| IBHG|iShares iBonds 2027 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|21784|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.124377|||| IBHH|iShares iBonds 2028 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|21764|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.134345|||| IBHI|iShares iBonds 2029 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|21765|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.142912|||| IBHJ|iShares iBonds 2030 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|21766|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.153963|||| IBHK|iShares iBonds 2031 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|21785|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.145532|||| IBHL|iShares iBonds 2032 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|21786|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.157751|||| IBMN|iShares iBonds Dec 2025 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|21767|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.052782|||| IBMO|iShares iBonds Dec 2026 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|21768|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.05029|||| IBMP|iShares iBonds Dec 2027 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|21769|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.051795|||| IBMQ|iShares iBonds Dec 2028 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|21770|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.051877|||| IBMR|iShares iBonds Dec 2029 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|21771|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.054042|||| IBMS|iShares iBonds Dec 2030 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|21787|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.046032|||| IBMT|iShares iBonds Dec 2031 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|21788|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.053951|||| ICSH|iShares Ultra Short Duration Bond Active ETF|ETF|USD|n/a|Cash Dividend|21789|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.185242|||| ICVT|iShares Convertible Bond ETF|ETF|USD|n/a|Cash Dividend|21790|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.15192|||| IGEB|iShares Investment Grade Systematic Bond ETF|ETF|USD|n/a|Cash Dividend|21791|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.190503|||| IGHG|ProShares Investment Grade-Interest Rate Hedged|ETF|USD|n/a|Cash Dividend|21809|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-07|0.356483|||| IGLD|FT Vest Gold Strategy Target Income ETF|ETF|USD|n/a|Cash Dividend|21748|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-02|0.132300|||| ISPY|ProShares S&P 500 High Income ETF|ETF|USD|n/a|Cash Dividend|21811|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-07|1.274928|||| ITM|VanEck Intermediate Muni ETF|ETF|USD|n/a|Cash Dividend|21824|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.101|||| ITWO|ProShares Russell 2000 High Income ETF|ETF|USD|n/a|Cash Dividend|21810|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-07|1.313434|||| IVVW|iShares S&P 500 BuyWrite ETF|ETF|USD|n/a|Cash Dividend|21846|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-07|0.682532|||| IWMW|iShares Russell 2000 BuyWrite ETF|ETF|USD|n/a|Cash Dividend|21847|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-07|0.716307|||| IYLD|iShares Morningstar Multi-Asset Income ETF|ETF|USD|n/a|Cash Dividend|21840|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-07|0.060321|||| JBBB|Janus Henderson B-BBB CLO ETF|ETF|USD|n/a|Cash Dividend|21805|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-07|0.377436|||| JCPB|JPMorgan Core Plus Bond ETF|ETF|USD|n/a|Cash Dividend|21799|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.20575|||| JCPI|JPMorgan Inflation Managed Bond ETF|ETF|USD|n/a|Cash Dividend|21804|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.14406|||| JMST|JPMorgan Ultra-Short Municipal Income ETF|ETF|USD|n/a|Cash Dividend|21801|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.13593|||| JMUB|JPMorgan Municipal ETF|ETF|USD|n/a|Cash Dividend|21800|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.1501|||| JPIB|JPMorgan International Bond Opportunities ETF|ETF|USD|n/a|Cash Dividend|21796|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.20429|||| JPLD|JPMorgan Limited Duration Bond ETF|ETF|USD|n/a|Cash Dividend|21798|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.19218|||| LDDR|LifeX 2035 Term Income ETF|ETF|USD|n/a|Cash Dividend|21851|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LDER|LifeX 2040 Term Income ETF|ETF|USD|n/a|Cash Dividend|21852|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LDRR|LifeX 2045 Term Income ETF|ETF|USD|n/a|Cash Dividend|21853|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAE|LifeX 2048 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21854|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAF|LifeX 2049 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21855|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAI|LifeX 2050 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21856|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAJ|LifeX 2051 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21857|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAK|LifeX 2052 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21858|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAL|LifeX 2053 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21859|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAN|LifeX 2054 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21860|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAO|LifeX 2055 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21861|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAQ|LifeX 2056 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21862|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAR|LifeX 2057 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21863|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAU|LifeX 2058 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21864|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAV|LifeX 2059 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21865|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAW|LifeX 2060 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21866|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAX|LifeX 2061 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21867|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFAZ|LifeX 2062 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21868|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFBB|LifeX 2063 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21869|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFBD|LifeX 2064 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21870|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFBE|LifeX 2065 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21871|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LFDR|LifeX Durable Income ETF|ETF|USD|n/a|Cash Dividend|21872|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LIAB|LifeX 2048 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21873|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAC|LifeX 2049 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21874|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAE|LifeX 2050 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21875|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAF|LifeX 2051 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21876|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAG|LifeX 2052 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21877|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAJ|LifeX 2053 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21878|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAK|LifeX 2054 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21879|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAM|LifeX 2055 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21880|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAO|LifeX 2056 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21881|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAP|LifeX 2057 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21882|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAQ|LifeX 2058 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21883|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAT|LifeX 2059 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21884|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAU|LifeX 2060 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21885|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAV|LifeX 2061 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21886|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAW|LifeX 2062 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21887|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAX|LifeX 2063 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21888|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.85498254|||| LIAY|LifeX 2064 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21889|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LIBD|LifeX 2065 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|21890|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.83333333|||| LKOR|FlexShares Credit-Scored US Long Corporate Bond Index Fund|ETF|USD|n/a|Cash Dividend|21753|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-07|0.201038|||| LQDI|iShares Inflation Hedged Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|21845|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-07|0.104801|||| LQDW|iShares Investment Grade Corporate Bond BuyWrite Strategy ETF|ETF|USD|n/a|Cash Dividend|21844|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-07|0.55835|||| MBBB|VanEck Moody's Analytics BBB Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|21832|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.0866|||| MBND|SPDR Nuveen Municipal Bond ETF|ETF|USD|n/a|Cash Dividend|21819|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.083498|||| MBNE|SPDR Nuveen Municipal Bond ESG ETF |ETF|USD|n/a|Cash Dividend|21821|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.0925|||| MEAR|iShares Short Maturity Municipal Bond Active ETF|ETF|USD|n/a|Cash Dividend|21761|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.133248|||| MIG|VanEck Moody's Analytics IG Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|21831|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.0824|||| MLN|VanEck Long Muni ETF|ETF|USD|n/a|Cash Dividend|21825|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.0525|||| NEAR|iShares Short Duration Bond Active ETF|ETF|USD|n/a|Cash Dividend|21792|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.193307|||| NVW|Roundhill NVDA WeeklyPay ETF|ETF|USD|n/a|Cash Dividend|21895|Added||2025-05-02|2025-05-02|Weekly|2025-05-05|2025-05-05|2025-05-06|0.428159|||| OBND|SPDR Loomis Sayles Opportunistic Bond ETF|ETF|USD|n/a|Cash Dividend|21820|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.140328|||| OILK|ProShares K-1 Free Crude Oil ETF|ETF|USD|n/a|Cash Dividend|21808|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-07|0.09787|||| PLTW|Roundhill PLTR WeeklyPay ETF|ETF|USD|n/a|Cash Dividend|21896|Added||2025-05-02|2025-05-02|Weekly|2025-05-05|2025-05-05|2025-05-06|0.608696|||| PSDM|PGIM Short Duration Multi-Sector Bond ETF|ETF|USD|n/a|Cash Dividend|21806|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.19758|||| PSH|PGIM Short Duration High Yield ETF|ETF|USD|n/a|Cash Dividend|21807|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.30545|||| QCON|American Century Quality Convertible Securities ETF|ETF|USD|n/a|Cash Dividend|21742|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.1111|||| QDTE|Roundhill Innovation-100 0DTE Covered Call Strategy ETF|ETF|USD|n/a|Cash Dividend|21814|Unchanged||2025-04-30|2025-04-30|Weekly|2025-05-01|2025-05-01|2025-05-02|0.218172|||| QPFF|American Century Quality Preferred ETF|ETF|USD|n/a|Cash Dividend|21743|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.1504|||| RDFI|Rareview Dynamic Fixed Income ETF|ETF|USD|n/a|Cash Dividend|21849|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.16177|||| RDTE|Roundhill Russell 2000 0DTE Covered Call Strategy ETF|ETF|USD|n/a|Cash Dividend|21815|Unchanged||2025-04-30|2025-04-30|Weekly|2025-05-01|2025-05-01|2025-05-02|0.252788|||| RTAI|Rareview Tax Advantaged Income ETF|ETF|USD|n/a|Cash Dividend|21848|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.111087|||| RTRE|Rareview Total Return Bond ETF|ETF|USD|n/a|Cash Dividend|21850|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-05|0.074717|||| SCEC|Sterling Capital Enhanced Core Bond ETF|ETF|USD|n/a|Cash Dividend|21745|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.0648|||| SHYD|VanEck Short High Yield Muni ETF|ETF|USD|n/a|Cash Dividend|21827|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.0637|||| SHYM|iShares High Yield Muni Income Active ETF|ETF|USD|n/a|Cash Dividend|21793|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.089377|||| SMB|VanEck Short Muni ETF|ETF|USD|n/a|Cash Dividend|21826|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.0356|||| SMI|VanEck HIP Sustainable Muni ETF|ETF|USD|n/a|Cash Dividend|21829|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.1027|||| SPIN|SPDR SSGA US Equity Premium Income ETF|ETF|USD|n/a|Cash Dividend|21822|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.666944|||| STOT|SPDR DoubleLine Short Duration Total Return Tactical ETF|ETF|USD|n/a|Cash Dividend|21818|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.164246|||| TLTW|iShares 20+ Year Treasury Bond BuyWrite Strategy ETF|ETF|USD|n/a|Cash Dividend|21842|Updated||2025-05-01|2025-05-01|Monthly|2025-05-02|2025-05-02|2025-05-07|0.374978|||| TRSY|Xtrackers US 0-1 Year Treasury ETF|ETF|USD|n/a|Cash Dividend|21746|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-08|0.07833|||| TSW|Roundhill TSLA WeeklyPay ETF|ETF|USD|n/a|Cash Dividend|21894|Added||2025-05-02|2025-05-02|Weekly|2025-05-05|2025-05-05|2025-05-06|0.530961|||| USHY|iShares Broad USD High Yield Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|21794|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.201656|||| VCEB|Vanguard ESG U.S. Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|21833|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.2444|||| VCRM|Vanguard Core Tax-Exempt Bond ETF|ETF|USD|n/a|Cash Dividend|21834|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.1798|||| VSDB|Vanguard Short Duration Bond ETF|ETF|USD|n/a|Cash Dividend|21835|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.2597|||| VSDM|Vanguard Short Duration Tax-Exempt Bond ETF|ETF|USD|n/a|Cash Dividend|21836|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.1933|||| VTEC|Vanguard California Tax-Exempt Bond ETF|ETF|USD|n/a|Cash Dividend|21837|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.2414|||| VTEI|Vanguard Intermediate-Term Tax-Exempt Bond ETF|ETF|USD|n/a|Cash Dividend|21838|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.2342|||| VUSB|Vanguard Ultra-Short Bond ETF|ETF|USD|n/a|Cash Dividend|21839|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-05|0.1944|||| XDTE|Roundhill S&P 500 0DTE Covered Call Strategy ETF|ETF|USD|n/a|Cash Dividend|21813|Unchanged||2025-04-30|2025-04-30|Weekly|2025-05-01|2025-05-01|2025-05-02|0.255418|||| XEMD|BondBloxx JP Morgan USD Emerging Markets 1-10 Year Bond ETF|ETF|USD|n/a|Cash Dividend|21744|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.22483|||| XIDE|FT Vest U.S. Equity Buffer & Premium Income ETF - December|ETF|USD|n/a|Cash Dividend|21749|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-02|0.163700|||| XIJN|FT Vest U.S. Equity Buffer & Premium Income ETF - June|ETF|USD|n/a|Cash Dividend|21750|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-02|0.165600|||| XIMR|FT Vest U.S. Equity Buffer & Premium Income ETF - March|ETF|USD|n/a|Cash Dividend|21751|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-02|0.163600|||| XISE|FT Vest U.S. Equity Buffer & Premium Income ETF - September|ETF|USD|n/a|Cash Dividend|21752|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-02|0.146300|||| XMPT|VanEck CEF Muni Income ETF|ETF|USD|n/a|Cash Dividend|21830|Unchanged||2025-04-30|2025-04-30|Monthly|2025-05-01|2025-05-01|2025-05-06|0.1085|||| YBTC|Roundhill Bitcoin Covered Call Strategy ETF|ETF|USD|n/a|Cash Dividend|21816|Unchanged||2025-04-30|2025-04-30|Weekly|2025-05-01|2025-05-01|2025-05-02|0.236537||||