Income ETF Analysis
Rankings and per-fund breakdowns built from the same live price and distribution data as the calculators. Every figure on these pages is computed, not written — the commentary is generated from fixed thresholds applied to the numbers, so two funds with the same profile always get the same verdict.
Cross-fund rankings
NAV erosion leaderboard
Every option-income fund we track, ranked by how much share price it lost over the last year, next to how much it distributed over the same window. The clearest single view of which funds are paying you with your own capital.
Headline yield vs real yield
Distribution yield adjusted for NAV change, ranked. Shows which double-digit yields survive contact with the share price and which ones don't.
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How each fund generates its distribution, what the last year of data says about whether that distribution was income or returned capital, and the charts behind the verdict.
How these pages are built
Prices and distributions come from Financial Modeling Prep and are refreshed daily. Real yield is trailing-twelve-month distributions per share minus any NAV decline over the same window, divided by the starting price — so a fund that paid 40% and lost 25% of its NAV shows a real yield near 15%, not 40%.
Where a window is labelled 6M rather than 1Y, the fund did not have twelve months of price history and the shorter window was used instead. Newly launched funds are excluded from the rankings until they have enough history to measure. Full methodology and data sources are on the about page.