Alternatives Background
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Alternatives

Purpose Premium Yield Fund

Portfolio breakdown

AS AT JAN 22, 2025

Portfolio characteristics

AS AT JAN 22, 2025

Put Options Written
119
Equities Underlying Put Options
47
Equities Directly Held
21
Call Options Written
41
Short Puts Expiring
<1 mo
64.98%
1-3 mo
35.02%
Moneyness
>0%
0.00%
<=0%
4.50%
<=-4%
10.65%
<=-8%
24.10%
<=-12%
60.75%
Long puts (hedging)
8.09%

Sector breakdown

AS AT JAN 22, 2025

Holding BreakdownAS AT JAN 22, 2025

SECTORISSUING BANKTHEMEGEOGRAPHYMATURITYPORTFOLIO WEIGHT# OF POSITIONS
Materials1.78%
Energy1.63%
Financials1.58%
Consumer Discretionary1.39%
Consumer Staples1.16%
Materials1.02%
Real Estate1.01%
Materials0.91%
Communication Services0.81%
Utilities0.80%