Alternatives Background
back to funds

Alternatives

Purpose Premium Yield Fund

Portfolio breakdown

AS AT OCT 29, 2024

Portfolio characteristics

AS AT OCT 29, 2024

Put Options Written
151
Equities Underlying Put Options
48
Equities Directly Held
14
Call Options Written
45
Short Puts Expiring
<1 mo
57.84%
1-3 mo
42.16%
Moneyness
>0%
1.28%
<=0%
2.82%
<=-4%
20.99%
<=-8%
25.74%
<=-12%
49.18%
Long puts (hedging)
11.40%

Sector breakdown

AS AT OCT 29, 2024

Holding BreakdownAS AT OCT 29, 2024

SECTORISSUING BANKTHEMEGEOGRAPHYMATURITYPORTFOLIO WEIGHT# OF POSITIONS
Equity Index2.42%
Health Care1.53%
Materials0.74%
Real Estate0.63%
Materials0.58%
Materials0.53%
Information Technology0.47%
Information Technology0.44%
Information Technology0.44%
Financials0.42%