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Fund Seeks a
7% Annualized Target
Monthly Payout Yield

MPAY aims to provide your new passive income yield with capital gain.

Akros Monthly Payout ETF (Ticker: MPAY)

  • Income

    ?% vs. 7%

    MPAY seeks to generate income at the annualized target of 7% with capital gain to achieve distribution growth.

  • Distribution

    Annual vs. Monthly

    MPAY adopts a monthly payout policy at the given target rate.

  • Strategy

    Single Asset vs. Multi Assets

    MPAY represents a multi-asset portfolio potentially exposed to each of the 19 asset classes.

One of the cores of an investment decision is to generate income flow from your current asset. MPAY adopts a policy of monthly distribution payout at the annualized target rate of 7%. All or a portion of a distribution may consist of a return of capital from the original investment and the distribution rate may be modified at any time.

MPAY takes into consideration the current macroeconomic landscape to represent a portfolio potentially invested across multiple asset classes, including but not limited to:
  • Equity
  • Corporate Bond
  • Global Infrastructure
  • REITs
  • TIPS
  • Gold
  • Treasury Bond
  • MBS
  • Commodity

The Fund seeks to make cash distributions once per month throughout a calendar year with the goal, but not the guarantee of an annualized target rate of 7.0%. All or a portion of a distribution may consist of a return of capital from the original investment and the distribution rate may be modified at any time.

01.

Fund NAV and Market Price

Data as of 03-27-2025

Fund NAV Market Price
Price ($) $24.82 $24.83
Daily Change ($) -$0.03 -$0.03
Daily Change (%) -0.12% -0.10%

The market price returns are based on the official closing price of an ETF share or, if the official closing price isn't available, the midpoint between the national best bid and national best offer ("NBBO") as of the time the ETF calculates current NAV per share. Shares are not redeemable with the issuing fund, Instead, investors must buy and sell Akros ETF Shares in the secondary market and hold those shares in a brokerage account. In doing so, the investor may incur brokerage commissions and may pay more than net asset value when buying and receive less than net asset value when selling.

02.

Distributions

Ex Date Record Date Pay Date Dividend Long Term
Capital Gains
Short Term
Capital Gains

For the distributions displayed, all or a portion of each distribution may be a return of capital.

03.

Fund Details

Data as of 03-27-2025

Subject Description
Ticker MPAY
CUSIP 30151E582
Exchange NYSE Arca
Inception Date May 5, 2022
Management Fee 0.75%
Acquired Fund Fees & Expenses 0.09%
Gross Expense Ratio 0.84%
Fee Waiver 0.25%
Net Expense Ratio* 0.59%
Subject Description
AUM $3,226,534
Shares 130,001
Holdings 59
Advisor Exchange Traded Concepts
Administrator Ultimus
Distributor Foreside Fund Services
Benchmark The Akros Multi-Asset Index
Index Calculator Moorgate Benchmarks
Index Provider Akros Technologies, Inc.
Rebalance Monthly

(1) Exchange Traded Concepts, LLC (the “Adviser”) has contractually agreed to waive a portion of its management fee in an amount equal to 0.25% of average daily net assets through March 31, 2025, unless earlier terminated by the Board of Trustees (the “Board”) of Exchange Listed Funds Trust (the “Trust”) for any reason at any time.

(2) The Total Annual Fund Operating Expenses in this fee table may not correlate to the expense ratios in the Fund’s financial highlights and financial statements because the financial highlights and financial statements reflect only the operating expenses of the Fund and do not include Acquired Fund Fees and Expenses, which are fees and expenses incurred indirectly by the Fund through its investments in certain underlying investment companies.

Subject Description
Ticker MPAY
CUSIP 30151E582
Exchange NYSE Arca
Inception Date May 5, 2022
Management Fee 0.75%
Acquired Fund Fees
& Expenses
0.09%
Gross Expense Ratio 0.84%
Fee Waiver 0.25%
Net Expense Ratio* 0.59%
AUM $3,226,534
Shares 130,001
Holdings 59
Advisor Exchange Traded Concepts
Administrator Ultimus
Distributor Foreside Fund Services
Benchmark The Akros Multi-Asset Index
Index Calculator Moorgate Benchmarks
Index Provider Akros Technologies, Inc.
Rebalance Monthly

(1) Exchange Traded Concepts, LLC (the “Adviser”) has contractually agreed to waive a portion of its management fee in an amount equal to 0.25% of average daily net assets through March 31, 2025, unless earlier terminated by the Board of Trustees (the “Board”) of Exchange Listed Funds Trust (the “Trust”) for any reason at any time.

(2) The Total Annual Fund Operating Expenses in this fee table may not correlate to the expense ratios in the Fund’s financial highlights and financial statements because the financial highlights and financial statements reflect only the operating expenses of the Fund and do not include Acquired Fund Fees and Expenses, which are fees and expenses incurred indirectly by the Fund through its investments in certain underlying investment companies.

04.

Top Holdings

Data as of 03/27/2025

No. Name Ticker FIGI Shares Market Value Weight
1 ISHARES GOLD ETF IAU BBG000QLKDR4 2,898 $167,157 5.18%
2 SPDR GOLD MINISHARES ETV GLDM BBG00L8YYP89 2,760 $167,146 5.18%
3 ABERDEEN STNDRD PHYSCL SWISS GLD ETF SGOL BBG000BDHB87 5,728 $167,143 5.18%
4 GRANITESHARES GOLD ETF BAR BBG00HBPWNN3 5,539 $167,112 5.18%
5 ISHARES GOLD TRUST MICRO IAUM BBG011K3SN42 5,479 $167,000 5.18%
6 APPLE ORD AAPL BBG000B9XRY4 650 $145,502 4.51%
7 MICROSOFT ORD MSFT BBG000BPH459 330 $128,891 3.99%
8 VANGUARD LONG TERM TREASURY ETF VGLT BBG000PX0M82 2,274 $128,254 3.98%
9 NVIDIA ORD NVDA BBG000BBJQV0 1,100 $122,573 3.80%
10 ISHARES GLOBAL INFRASTRUCTURE ETF IGF BBG000T1GGF6 2,225 $121,018 3.75%
11 AMAZON COM ORD AMZN BBG000BVPV84 549 $110,547 3.43%
12 ALPHABET CL A ORD GOOGL BBG009S39JX6 648 $105,132 3.26%
13 META PLATFORMS CL A ORD META BBG000MM2P62 138 $83,156 2.58%
14 BERKSHIRE HATHAWAY CL B ORD BRK/B BBG000DWG505 125 $66,815 2.07%
15 BROADCOM INC AVGO BBG00KHY5S69 337 $57,961 1.80%
16 VANGUARD REAL ESTATE ETF VNQ BBG000Q89NG6 642 $57,671 1.79%
17 TESLA ORD TSLA BBG000N9MNX3 207 $56,538 1.75%
18 ELI LILLY ORD LLY BBG000BNBDC2 65 $53,409 1.66%
19 JPMORGAN CHASE ORD JPM BBG000DMBXR2 209 $51,857 1.61%
20 GOLDMAN SACHS PHYSICAL GOLD ETF AAAU BBG00LPXX872 1,714 $51,789 1.61%
21 VISA CL A ORD V BBG000PSKYX7 142 $49,680 1.54%
22 UNITEDHEALTH GRP ORD UNH BBG000CH5208 87 $44,868 1.39%
23 MASTERCARD CL A ORD MA BBG000F1ZSQ2 78 $43,490 1.35%
24 NETFLIX ORD NFLX BBG000CL9VN6 42 $41,022 1.27%
25 COSTCO WHOLESALE ORD COST BBG000F6H8W8 41 $38,489 1.19%
26 HOME DEPOT ORD HD BBG000BKZB36 100 $36,273 1.12%
27 WALMART ORD WMT BBG000BWXBC2 416 $35,622 1.10%
28 SALESFORCE ORD CRM BBG000BN2DC2 117 $32,504 1.01%
29 QUALCOMM ORD QCOM BBG000CGC1X8 190 $30,014 0.93%
30 BOOKING HOLDINGS ORD BKNG BBG000BLBVN4 6 $28,517 0.88%
31 CATERPILLAR ORD CAT BBG000BF0K17 84 $28,501 0.88%
32 ADOBE ORD ADBE BBG000BB5006 69 $27,334 0.85%
33 SERVICENOW ORD NOW BBG000M1R011 33 $27,315 0.85%
34 TJX ORD TJX BBG000BV8DN6 226 $27,249 0.84%
35 ACCENTURE CL A ORD ACN BBG000D9D830 88 $27,151 0.84%
36 LOWE'S COMPANIES ORD LOW BBG000BNDN65 114 $26,467 0.82%
37 APPLIED MATERIAL ORD AMAT BBG000BBPFB9 178 $26,287 0.81%
38 LAM RESEARCH ORD LRCX BBG000BNFLM9 349 $26,109 0.81%
39 KLA ORD KLAC BBG000BMTFR4 37 $25,900 0.80%
40 MERCADOLIBRE ORD MELI BBG000GQPB11 12 $25,150 0.78%
41 SPOTIFY TECHNOLOGY ORD SPOT BBG003T4VFC2 43 $24,949 0.77%
42 MOTOROLA SOLUTIONS ORD MSI BBG000BP8Z50 57 $24,643 0.76%
43 FAIR ISAAC ORD FICO BBG000DW76Y6 13 $24,340 0.75%
44 FORTINET ORD FTNT BBG000BCMBG4 229 $22,795 0.71%
45 VISTRA ORD VST BBG00DXDL6Q1 187 $22,311 0.69%
46 EXPEDITORS INTNL OF WASHTN CL A ORD EXPD BBG000BJ5GK2 185 $22,252 0.69%
47 CH ROBINSON WORLDWIDE ORD CHRW BBG000BTCH57 216 $21,963 0.68%
48 MANHATTAN ASSOCIATES ORD MANH BBG000BFV758 122 $21,328 0.66%
49 CORVEL ORD CRVL BBG000CVKZY0 190 $21,270 0.66%
50 EXELIXIS ORD EXEL BBG000BQ4WF8 563 $20,741 0.64%
51 EMCOR GROUP ORD EME BBG000BBRPL4 54 $20,484 0.63%
52 APPLOVIN CL A ORD APP BBG006HFPX77 78 $20,413 0.63%
53 KONTOOR BRANDS ORD KTB BBG00LPTHYD5 308 $20,140 0.62%
54 WILLIAMS SONOMA ORD WSM BBG000FSMWC3 119 $19,566 0.61%
55 GARTNER ORD IT BBG000BB65D0 46 $19,545 0.61%
56 LOGITECH N ORD LOGI BBG000BQNBN4 214 $18,960 0.59%
57 VALMONT INDS ORD VMI BBG000BWB7V4 61 $18,251 0.57%
58 CELESTICA ORD CLS BBG000BPS2C3 202 $17,047 0.53%
59 STEVEN MADDEN ORD SHOO BBG000BLV2Q3 619 $16,775 0.52%
60 CASH & OTHER Cash-USD BBG0013HGBT3 4,107 $4,107 0.13%

Holdings Subject to Change

05.

Fund Performance

Month End as of 02/28/2025

1 Month 3 Months YTD 1 Year 3 Years 5 Years ITD
Fund NAV -2.07% -0.19% 1.18% 14.57% TBD TBD 9.15%
Market Price -2.07% -0.39% 1.06% 14.57% TBD TBD 9.11%

Quarter End as of 12/31/2024

1 Month 3 Months YTD 1 Year 3 Years 5 Years ITD
Fund NAV -1.35% 0.59% 19.06% 19.06% TBD TBD 9.26%
Market Price -1.43% 0.35% 18.84% 18.84% TBD TBD 9.26%

Performance data quoted represents past performance and is no guarantee of future results. Investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the original cost. Returns greater than 1 year are annualized, returns 1 year or less are not.

Shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. The returns shown do not represent the returns you would receive if you traded shares at other times. Brokerage commissions will reduce returns. The market price returns are based on the official closing price of an ETF share or, if the official closing price isn't available, the midpoint between the national best bid and national best offer (“NBBO”) as of the time the ETF calculates current NAV per share. NAVs are calculated using prices as of 4:00 PM Eastern Time.

Inception to date (ITD)

06.

Premium/Discount

Data as of 03-27-2025

Fund
NAV
Market
Price
Premium/
Discount

30-Day Median
Bid/Ask Spread

30-Day Median Bid/Ask Spread : The spread is calculated from (i) sampling the ETF's NBBO as of the end of each 10 second interval during each trading day of the last 30 calendar days; (ii) dividing the difference between each such bid and offer by the midpoint of the NBBO; and (iii) identifying the median of those values.
$24.82 $24.83 +0.03% +0.16%
hidingText Days
At NAV
Days
At Premium
Days
At Discount
Calendar Year 2024 0 169 83
30-Day Median Bid/Ask Spread : The spread is calculated from (i) sampling the ETF's NBBO as of the end of each 10 second interval during each trading day of the last 30 calendar days; (ii) dividing the difference between each such bid and offer by the midpoint of the NBBO; and (iii) identifying the median of those values.

07.

Fund Materials

Index Methodology Download
Summary Prospectus Download
Prospectus Download
2024 Annual Shareholder Report Download
2024 Annual Financials and Other Information Download
2024 Estimated Capital Gain Distribution Download
19a-1 Notice (Mar 25) Download