Environment=PROD|Report Date=2025-12-03|Record Count=164 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 ARCM|Arrow Reserve Capital Management ETF|ETF|USD|n/a|Cash Dividend|24981|Unchanged||2025-11-26|2025-11-26|Monthly|2025-11-28|2025-11-28|2025-12-03|0.2725|||| ATMP|iPath Select MLP ETN|ETF|USD|18127506|Cash Dividend|24842|Unchanged||2025-11-18|2025-11-18|Quarterly|2025-12-01|2025-12-01|2025-12-09|0.39806809|||| BALI|iShares U.S. Large Cap Premium Income Active ETF|ETF|USD|n/a|Cash Dividend|25029|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.249674|||| BAMA|Brookstone Active ETF|ETF|USD|n/a|Cash Dividend|24982|Unchanged||2025-11-26|2025-11-26|Quarterly|2025-11-28|2025-11-28|2025-12-05|0.1042|||| BAMB|Brookstone Intermediate Bond ETF|ETF|USD|n/a|Cash Dividend|24983|Unchanged||2025-11-26|2025-11-26|Quarterly|2025-11-28|2025-11-28|2025-12-05|0.1906|||| BAMD|Brookstone Dividend Stock ETF|ETF|USD|n/a|Cash Dividend|24984|Unchanged||2025-11-26|2025-11-26|Quarterly|2025-11-28|2025-11-28|2025-12-05|0.2972|||| BAMG|Brookstone Growth Stock ETF|ETF|USD|n/a|Cash Dividend|24985|Unchanged||2025-11-26|2025-11-26|Quarterly|2025-11-28|2025-11-28|2025-12-05|0|||| BAMO|Brookstone Opportunities ETF|ETF|USD|n/a|Cash Dividend|24986|Unchanged||2025-11-26|2025-11-26|Quarterly|2025-11-28|2025-11-28|2025-12-05|0.1629|||| BAMU|Brookstone Ultra-Short Bond ETF|ETF|USD|n/a|Cash Dividend|24987|Unchanged||2025-11-26|2025-11-26|Quarterly|2025-11-28|2025-11-28|2025-12-05|0.1933|||| BAMV|Brookstone Value Stock ETF|ETF|USD|n/a|Cash Dividend|24988|Unchanged||2025-11-26|2025-11-26|Quarterly|2025-11-28|2025-11-28|2025-12-05|0.1016|||| BAMY|Brookstone Yield ETF|ETF|USD|n/a|Cash Dividend|24989|Unchanged||2025-11-26|2025-11-26|Quarterly|2025-11-28|2025-11-28|2025-12-05|0.5293|||| BBHY|JPMorgan BetaBuilders USD High Yield Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|25068|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.26789|||| BBIB|JPMorgan BetaBuilders U.S. Treasury Bond 3-10 Year ETF|ETF|USD|n/a|Cash Dividend|25069|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.32123|||| BBLB|JPMorgan BetaBuilders U.S. Treasury Bond 20+ Year ETF|ETF|USD|n/a|Cash Dividend|25070|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.35238|||| BBSB|JPMorgan BetaBuilders U.S. Treasury Bond 1-3 Year ETF|ETF|USD|n/a|Cash Dividend|25071|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.31751|||| BCCC|Global X Bitcoin Covered Call ETF|ETF|USD|n/a|Cash Dividend|25025|Unchanged||2025-11-28|2025-11-28|Weekly|2025-12-01|2025-12-01|2025-12-04|0.1186|||| BCKT|LifeX 2030 Income Bucket ETF|ETF|USD|n/a|Cash Dividend|25160|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.83333333|||| BEMB|iShares J.P. Morgan Broad USD Emerging Markets Bond ETF|ETF|USD|n/a|Cash Dividend|25043|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.259323|||| BEMB|iShares J.P. Morgan Broad USD Emerging Markets Bond ETF|ETF|USD|n/a|Long-Term Capital Gain|25044|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.39393|||| BEMB|iShares J.P. Morgan Broad USD Emerging Markets Bond ETF|ETF|USD|n/a|Short-Term Capital Gain|25045|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.022194|||| BHYB|Xtrackers USD High Yield BB-B ex Financials ETF|ETF|USD|n/a|Cash Dividend|25013|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-08|0.29419|||| BRLN|iShares Floating Rate Loan Active ETF|ETF|USD|n/a|Cash Dividend|25046|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.270176|||| CBOE|Cboe Global Markets, Inc.|Primary Equity|USD|104644514|Cash Dividend|24489|Unchanged||2025-10-23|2025-10-23|Quarterly|2025-11-28|2025-11-28|2025-12-15|0.72|||| CEMB|iShares J.P Morgan EM Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|25047|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.192545|||| COII|REX COIN Growth & Income ETF|ETF|USD|n/a|Cash Dividend|25149|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.086|||| CWII|REX CRWV Growth & Income ETF|ETF|USD|n/a|Cash Dividend|25150|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.0968|||| EAOK|iShares ESG Aware 30/70 Conservative Allocation ETF|ETF|USD|n/a|Cash Dividend|25137|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-05|0.062074|||| EMHY|iShares J.P. Morgan EM High Yield Bond ETF|ETF|USD|n/a|Cash Dividend|25048|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.207742|||| EMTL|State Street DoubleLine Emerging Markets Fixed Income ETF|ETF|USD|n/a|Cash Dividend|25090|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.177325|||| FLBL|Franklin Senior Loan ETF|ETF|USD|n/a|Cash Dividend|25022|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.13522|||| FLHY|Franklin High Yield Corporate ETF |ETF|USD|n/a|Cash Dividend|25023|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.1151|||| FLIA|Franklin International Aggregate Bond ETF|ETF|USD|n/a|Cash Dividend|25024|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.01928|||| FLOT|iShares Floating Rate Bond ETF|ETF|USD|n/a|Cash Dividend|25049|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.193014|||| GEMD|Goldman Sachs Access Emerging Markets USD Bond ETF|ETF|USD|n/a|Cash Dividend|25026|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-05|0.18443|||| GHYG|iShares US & Intl High Yield Corp Bond ETF|ETF|USD|n/a|Cash Dividend|25050|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.24298|||| GOVT|iShares U.S. Treasury Bond ETF|ETF|USD|n/a|Cash Dividend|25030|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.067646|||| GOVZ|iShares 25+ Year Treasury STRIPS Bond ETF|ETF|USD|n/a|Cash Dividend|25031|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.037365|||| GSST|Goldman Sachs Ultra Short Bond ETF|ETF|USD|n/a|Cash Dividend|25027|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-05|0.16372|||| GTIP|Goldman Sachs Access Inflation Protected USD Bond ETF|ETF|USD|n/a|Cash Dividend|25028|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-05|0.17549|||| GVI|iShares Intermediate Government/Credit Bond ETF|ETF|USD|n/a|Cash Dividend|25051|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.315344|||| HEEM|iShares Currency Hedged MSCI Emerging Markets ETF|ETF|USD|n/a|Cash Dividend|25134|Unchanged||2025-12-01|2025-12-01|Semi-Annually|2025-12-02|2025-12-02|2025-12-05|0|||| HEFA|iShares Currency Hedged MSCI EAFE ETF|ETF|USD|n/a|Cash Dividend|25135|Unchanged||2025-12-01|2025-12-01|Semi-Annually|2025-12-02|2025-12-02|2025-12-05|0|||| HIMU|iShares High Yield Muni Active ETF|ETF|USD|n/a|Cash Dividend|25052|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.244518|||| HOII|REX HOOD Growth & Income ETF|ETF|USD|n/a|Cash Dividend|25151|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.1323|||| HYBL|State Street Blackstone High Income ETF|ETF|USD|n/a|Cash Dividend|25091|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.166205|||| HYD|VanEck High Yield Muni ETF|ETF|USD|n/a|Cash Dividend|25000|Unchanged||2025-11-26|2025-11-26|Monthly|2025-11-28|2025-11-28|2025-12-03|0.1723|||| HYDB|iShares High Yield Systematic Bond ETF|ETF|USD|n/a|Cash Dividend|25053|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.270238|||| HYGW|iShares High Yield Corporate Bond BuyWrite Strategy ETF|ETF|USD|n/a|Cash Dividend|25138|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-05|0.239958|||| HYHG|ProShares High Yield-Interest Rate Hedged ETF|ETF|USD|n/a|Cash Dividend|25085|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-05|0.373645|||| IBHE|iShares iBonds 2025 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|25054|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.07821|||| IBHF|iShares iBonds 2026 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|25055|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.11375|||| IBHF|iShares iBonds 2026 Term High Yield and Income ETF|ETF|USD|n/a|Long-Term Capital Gain|25056|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.007721|||| IBHF|iShares iBonds 2026 Term High Yield and Income ETF|ETF|USD|n/a|Short-Term Capital Gain|25057|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.025374|||| IBHG|iShares iBonds 2027 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|25058|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.105253|||| IBHH|iShares iBonds 2028 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|25032|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.11808|||| IBHI|iShares iBonds 2029 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|25033|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.127395|||| IBHJ|iShares iBonds 2030 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|25034|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.138435|||| IBHK|iShares iBonds 2031 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|25059|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.140012|||| IBHL|iShares iBonds 2032 Term High Yield and Income ETF|ETF|USD|n/a|Cash Dividend|25035|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.125347|||| IBMO|iShares iBonds Dec 2026 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|25037|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.049462|||| IBMP|iShares iBonds Dec 2027 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|25038|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.053421|||| IBMQ|iShares iBonds Dec 2028 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|25039|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.05258|||| IBMR|iShares iBonds Dec 2029 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|25040|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.054112|||| IBMS|iShares iBonds Dec 2030 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|25060|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.055614|||| IBMT|iShares iBonds Dec 2031 Term Muni Bond ETF|ETF|USD|n/a|Cash Dividend|25041|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.052943|||| ICSH|iShares Ultra Short Duration Bond Active ETF|ETF|USD|n/a|Cash Dividend|25061|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.179377|||| ICVT|iShares Convertible Bond ETF|ETF|USD|n/a|Cash Dividend|25062|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.116633|||| IGEB|iShares Investment Grade Systematic Bond ETF|ETF|USD|n/a|Cash Dividend|25063|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.188934|||| IGHG|ProShares Investment Grade-Interest Rate Hedged|ETF|USD|n/a|Cash Dividend|25086|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-05|0.332635|||| ISPY|ProShares S&P 500 High Income ETF|ETF|USD|n/a|Cash Dividend|25087|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-05|0.203056|||| ITM|VanEck Intermediate Muni ETF|ETF|USD|n/a|Cash Dividend|25001|Unchanged||2025-11-26|2025-11-26|Monthly|2025-11-28|2025-11-28|2025-12-03|0.1088|||| ITWO|ProShares Russell 2000 High Income ETF|ETF|USD|n/a|Cash Dividend|25088|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-05|0.155788|||| IVVW|iShares S&P 500 BuyWrite ETF|ETF|USD|n/a|Cash Dividend|25139|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-05|0.521216|||| IVVW|iShares S&P 500 BuyWrite ETF|ETF|USD|n/a|Long-Term Capital Gain|25140|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-05|0.431382|||| IVVW|iShares S&P 500 BuyWrite ETF|ETF|USD|n/a|Short-Term Capital Gain|25141|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-05|0.4679|||| IWMW|iShares Russell 2000 BuyWrite ETF|ETF|USD|n/a|Cash Dividend|25142|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-05|0.561156|||| IYLD|iShares Morningstar Multi-Asset Income ETF|ETF|USD|n/a|Cash Dividend|25136|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-05|0.061901|||| JBBB|Janus Henderson B-BBB CLO ETF|ETF|USD|n/a|Cash Dividend|25079|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-05|0.26257|||| JCPB|JPMorgan Core Plus Bond ETF|ETF|USD|n/a|Cash Dividend|25072|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.19042|||| JCPI|JPMorgan Inflation Managed Bond ETF|ETF|USD|n/a|Cash Dividend|25073|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.16335|||| JMST|JPMorgan Ultra-Short Municipal Income ETF|ETF|USD|n/a|Cash Dividend|25074|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.11626|||| JMUB|JPMorgan Municipal ETF|ETF|USD|n/a|Cash Dividend|25075|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.1873|||| JPHY|JPMorgan Active High Yield ETF|ETF|USD|n/a|Cash Dividend|25076|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.26178|||| JPIB|JPMorgan International Bond Opportunities ETF|ETF|USD|n/a|Cash Dividend|25077|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.19364|||| JPLD|JPMorgan Limited Duration Bond ETF|ETF|USD|n/a|Cash Dividend|25078|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.18964|||| KGLD|Kurv Gold Enhanced Income ETF|ETF|USD|n/a|Cash Dividend|25175|Updated||2025-12-02|2025-12-02|Monthly|2025-12-03|2025-12-03|2025-12-04|0.3|||| KYLD|Kurv High Income ETF|ETF|USD|n/a|Cash Dividend|25176|Updated||2025-12-02|2025-12-02|Weekly|2025-12-03|2025-12-03|2025-12-04|0.165|||| LDDR|LifeX 2035 Income Bucket ETF|ETF|USD|n/a|Cash Dividend|25161|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.83333333|||| LFAI|LifeX 2050 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|25163|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.83333333|||| LFAO|LifeX 2055 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|25164|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.83333333|||| LFAW|LifeX 2060 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|25165|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.83333333|||| LFBE|LifeX 2065 Longevity Income ETF|ETF|USD|n/a|Cash Dividend|25166|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.83333333|||| LFDR|LifeX Durable Income ETF|ETF|USD|n/a|Cash Dividend|25167|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.83333333|||| LIAE|LifeX 2050 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|25168|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.85498254|||| LIAM|LifeX 2055 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|25169|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.85498254|||| LIAU|LifeX 2060 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|25170|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.85498254|||| LIBD|LifeX 2065 Inflation-Protected Longevity Income ETF|ETF|USD|n/a|Cash Dividend|25171|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.83333333|||| LIFT|LifeX 2028 Income Bucket ETF|ETF|USD|n/a|Cash Dividend|25162|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.83333333|||| LKOR|FlexShares Credit-Scored US Long Corporate Bond Index Fund|ETF|USD|n/a|Cash Dividend|25021|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-05|0.185802|||| LLII|REX LLY Growth & Income ETF|ETF|USD|n/a|Cash Dividend|25152|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.1742|||| LQDI|iShares Inflation Hedged Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|25143|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-05|0.100854|||| LQDW|iShares Investment Grade Corporate Bond BuyWrite Strategy ETF|ETF|USD|n/a|Cash Dividend|25144|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-05|0.266232|||| LVHI|Franklin International Low Volatility High Dividend Index ETF|ETF|USD|n/a|Cash Dividend|25180|Added||2025-12-03|2025-12-03|Quarterly|2025-12-04|2025-12-04|2025-12-09|0.49288|||| LVHI|Franklin International Low Volatility High Dividend Index ETF|ETF|USD|n/a|Long-Term Capital Gain|25181|Added||2025-12-03|2025-12-03|Quarterly|2025-12-04|2025-12-04|2025-12-09|0.18009|||| LVHI|Franklin International Low Volatility High Dividend Index ETF|ETF|USD|n/a|Short-Term Capital Gain|25182|Added||2025-12-03|2025-12-03|Quarterly|2025-12-04|2025-12-04|2025-12-09|0.14117|||| MBBB|VanEck Moody's Analytics BBB Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|25002|Unchanged||2025-11-26|2025-11-26|Monthly|2025-11-28|2025-11-28|2025-12-03|0.0858|||| MBND|State Street Nuveen Municipal Bond ETF|ETF|USD|n/a|Cash Dividend|25092|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.079344|||| MBNE|State Street Nuveen Municipal Bond ESG ETF|ETF|USD|n/a|Cash Dividend|25093|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.087999|||| MEAR|iShares Short Maturity Municipal Bond Active ETF|ETF|USD|n/a|Cash Dividend|25042|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.124709|||| MIG|VanEck Moody's Analytics IG Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|25003|Unchanged||2025-11-26|2025-11-26|Monthly|2025-11-28|2025-11-28|2025-12-03|0.077|||| MLN|VanEck Long Muni ETF|ETF|USD|n/a|Cash Dividend|25004|Unchanged||2025-11-26|2025-11-26|Monthly|2025-11-28|2025-11-28|2025-12-03|0.0532|||| MSII|REX MSTR Growth & Income ETF|ETF|USD|n/a|Cash Dividend|25153|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.0549|||| MSST|YieldMax MSTR Performance & Distribution Target 25 ETF|ETF|USD|n/a|Cash Dividend|25172|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.2231|||| MSTU|T-Rex 2X Long MSTR Daily Target ETF|ETF|USD|n/a|Reverse Stock Split|24875|Unchanged||2025-11-21|2025-11-21||2025-12-03||||0.1||| MUNY|Vanguard New York Tax-Exempt Bond ETF|ETF|USD|n/a|Cash Dividend|25097|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.2669|||| NEAR|iShares Short Duration Bond Active ETF|ETF|USD|n/a|Cash Dividend|25064|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.176183|||| NVII|REX NVDA Growth & Income ETF|ETF|USD|n/a|Cash Dividend|25154|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.3987|||| NVIT|YieldMax NVDA Performance & Distribution Target 25 ETF|ETF|USD|n/a|Cash Dividend|25173|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.2332|||| OBND|State Street Loomis Sayles Opportunistic Bond ETF|ETF|USD|n/a|Cash Dividend|25094|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.12595|||| OILK|ProShares K-1 Free Crude Oil ETF|ETF|USD|n/a|Cash Dividend|25089|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-05|0|||| PCI|PGIM Corporate Bond 5-10 Year ETF|ETF|USD|n/a|Cash Dividend|25080|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.20368|||| PCL|PGIM Corporate Bond 10+ Year ETF|ETF|USD|n/a|Cash Dividend|25081|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.22438|||| PCS|PGIM Corporate Bond 0-5 Year ETF|ETF|USD|n/a|Cash Dividend|25082|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.1809|||| PLTI|REX PLTR Growth & Income ETF|ETF|USD|n/a|Cash Dividend|25155|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.0807|||| PSDM|PGIM Short Duration Multi-Sector Bond ETF|ETF|USD|n/a|Cash Dividend|25083|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.18401|||| PSH|PGIM Short Duration High Yield ETF|ETF|USD|n/a|Cash Dividend|25084|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.2304|||| QDTE|Roundhill Innovation-100 0DTE Covered Call Strategy ETF|ETF|USD|n/a|Cash Dividend|25183|Added||2025-12-03|2025-12-03|Weekly|2025-12-04|2025-12-04|2025-12-05|0.384867|||| RDFI|Rareview Dynamic Fixed Income ETF|ETF|USD|n/a|Cash Dividend|25146|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.159844|||| RDTE|Roundhill Russell 2000 0DTE Covered Call Strategy ETF|ETF|USD|n/a|Cash Dividend|25184|Added||2025-12-03|2025-12-03|Weekly|2025-12-04|2025-12-04|2025-12-05|0.238616|||| RTAI|Rareview Tax Advantaged Income ETF|ETF|USD|n/a|Cash Dividend|25147|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.091892|||| RTRE|Rareview Total Return Bond ETF|ETF|USD|n/a|Cash Dividend|25148|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-03|0.079765|||| SCEC|Sterling Capital Enhanced Core Bond ETF|ETF|USD|n/a|Cash Dividend|25012|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.0922|||| SHYD|VanEck Short High Yield Muni ETF|ETF|USD|n/a|Cash Dividend|25005|Unchanged||2025-11-26|2025-11-26|Monthly|2025-11-28|2025-11-28|2025-12-03|0.0655|||| SHYM|iShares Short Duration High Yield Muni Active ETF|ETF|USD|n/a|Cash Dividend|25065|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.081374|||| SMB|VanEck Short Muni ETF|ETF|USD|n/a|Cash Dividend|25006|Unchanged||2025-11-26|2025-11-26|Monthly|2025-11-28|2025-11-28|2025-12-03|0.0372|||| SPIN|State Street SSGA US Equity Premium Income ETF|ETF|USD|n/a|Cash Dividend|25095|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.153288|||| STOT|State Street DoubleLine Short Duration Total Return Tactical ETF|ETF|USD|n/a|Cash Dividend|25096|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.174589|||| SYSB|iShares Systematic Bond ETF|ETF|USD|n/a|Cash Dividend|25066|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.148609|||| TEST|YieldMax TSLA Performance & Distribution Target 25 ETF|ETF|USD|n/a|Cash Dividend|25174|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.2543|||| TLTW|iShares 20+ Year Treasury Bond BuyWrite Strategy ETF|ETF|USD|n/a|Cash Dividend|25145|Unchanged||2025-12-01|2025-12-01|Monthly|2025-12-02|2025-12-02|2025-12-05|0.187561|||| TRSY|Xtrackers US 0-1 Year Treasury ETF|ETF|USD|n/a|Cash Dividend|25014|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-08|0.08529|||| TSII|REX TSLA Growth & Income ETF|ETF|USD|n/a|Cash Dividend|25156|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.3344|||| TSLP|Kurv Yield Premium Strategy Tesla (TSLA) ETF|ETF|USD|n/a|Cash Dividend|25177|Updated||2025-12-02|2025-12-02|Monthly|2025-12-03|2025-12-03|2025-12-04|0.5|||| USHY|iShares Broad USD High Yield Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|25067|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.215476|||| VCEB|Vanguard ESG U.S. Corporate Bond ETF|ETF|USD|n/a|Cash Dividend|25098|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.2426|||| VCRM|Vanguard Core Tax-Exempt Bond ETF|ETF|USD|n/a|Cash Dividend|25099|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.24|||| VGHY|Vanguard High-Yield Active ETF|ETF|USD|n/a|Cash Dividend|25100|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.3254|||| VGMS|Vanguard Multi-Sector Income Bond ETF|ETF|USD|n/a|Cash Dividend|25101|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.2099|||| VSDB|Vanguard Short Duration Bond ETF|ETF|USD|n/a|Cash Dividend|25102|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.2705|||| VSDM|Vanguard Short Duration Tax-Exempt Bond ETF|ETF|USD|n/a|Cash Dividend|25103|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.2034|||| VTEC|Vanguard California Tax-Exempt Bond ETF|ETF|USD|n/a|Cash Dividend|25104|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.2719|||| VTEI|Vanguard Intermediate-Term Tax-Exempt Bond ETF|ETF|USD|n/a|Cash Dividend|25105|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.2609|||| VTEL|Vanguard Long-Term Tax-Exempt Bond ETF|ETF|USD|n/a|Cash Dividend|25106|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.3333|||| VUSB|Vanguard Ultra-Short Bond ETF|ETF|USD|n/a|Cash Dividend|25107|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-03|0.1804|||| WEEK|Roundhill Weekly T-Bill ETF|ETF|USD|n/a|Cash Dividend|25158|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.070549|||| WMTI|REX WMT Growth & Income ETF|ETF|USD|n/a|Cash Dividend|25157|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.1465|||| WPAY|Roundhill WeeklyPay Universe ETF|ETF|USD|n/a|Cash Dividend|25159|Unchanged||2025-12-01|2025-12-01|Weekly|2025-12-02|2025-12-02|2025-12-03|0.349315|||| XDTE|Roundhill S&P 500 0DTE Covered Call Strategy ETF|ETF|USD|n/a|Cash Dividend|25185|Added||2025-12-03|2025-12-03|Weekly|2025-12-04|2025-12-04|2025-12-05|0.310974|||| XEMD|BondBloxx JP Morgan USD Emerging Markets 1-10 Year Bond ETF|ETF|USD|n/a|Cash Dividend|25011|Unchanged||2025-11-28|2025-11-28|Monthly|2025-12-01|2025-12-01|2025-12-04|0.19851|||| XMPT|VanEck CEF Muni Income ETF|ETF|USD|n/a|Cash Dividend|25007|Unchanged||2025-11-26|2025-11-26|Monthly|2025-11-28|2025-11-28|2025-12-03|0.107|||| YBTC|Roundhill Bitcoin Covered Call Strategy ETF|ETF|USD|n/a|Cash Dividend|25178|Updated||2025-12-02|2025-12-02|Weekly|2025-12-03|2025-12-03|2025-12-04|0.198488|||| YETH|Roundhill Ether Covered Call Strategy ETF|ETF|USD|n/a|Cash Dividend|25179|Updated||2025-12-02|2025-12-02|Weekly|2025-12-03|2025-12-03|2025-12-04|0.186279||||