Pay yourself smarter with dividend intelligence

Track 150+ high-yield options ETFs. See real rolling metrics — yield, P-NAV, and total return — updated weekly. Get AI-powered briefs no free chatbot can replicate.

Top movers this week Live from metrics
Ticker Yield Annualized distribution yield: last payout divided by this week’s reference price, scaled by payments per year (about ×52 for weekly funds, ×12 for monthly). This is not the same as one week’s cash dividend as a percent of your balance. P-NAV P-NAV (portfolio net asset value): week-over-week percent change in your per-share position using our tracked market closes—not the fund’s official accounting NAV. Total return One-week holding-period return where applicable: weekly P-NAV % plus the latest distribution as a percent of last week’s price. Monthly payers show — when there was no new dividend event this week (ranking uses pay weeks only). Freq Typical payment cadence: W = weekly, M = monthly. Used when annualizing yield; monthly funds often show $0 in last dist on weeks with no payment.
FIAT 64.8% +8.4% +9.7% W
LLII 26.1% +7.5% +8.0% W
CRSH 45.5% +3.7% +4.6% W
MRNY 71.9% +1.3% +2.7% W
BRKC 20.4% +1.9% +2.2% W

Everything you need to invest in high-yield ETFs

From raw distribution data to AI-generated insights — one platform.

150+ ETF asset tracker

Distribution data across major issuers — grouped by declaration date with price and distribution change status.

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Rolling metrics dashboard

Period yield %, P-NAV %, and total return % — computed weekly. Sort, filter, compare.

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AI intelligence brief

Claude analyzes dashboard data and writes a narrative digest: top performers, alerts, notable moves.

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Investment calculator

Model returns with margin, inflation, recurring investments, and custom schedules.

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ETF snapshot cards

AI-generated blurbs on the Assets page — distribution drops, price trends, total return context.

Pro
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Education hub

Curated tools and guides on NAV erosion, ROC, covered calls, and 19a-1 notices.

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See what the weekly brief looks like

Claude reads computed metrics and turns them into narrative analysis.

PYS Weekly Intelligence Brief
Sample preview

This week's story is distribution pressure: multiple ETFs saw week-over-week distribution drops while price action diverged. The weekly payer universe separates into clear winners and laggards on total return.

Top performers

Leaders by annualized yield often pair large per-share distributions with volatile NAV — monitor ROC disclosures. Names with price up and distribution steady can show stronger total return.

Distribution alerts

Funds with simultaneous distribution cuts and price declines may show combined NAV pressure. Always read 19a-1 notices: high payouts may include Return of Capital...

From raw data to weekly intelligence in 3 steps

Our pipeline runs automatically. You read the results.

Data pipeline collects

Scheduled jobs pull distribution data and closes for tracked tickers (Polygon + yfinance fallback), stored in Postgres with history.

Metrics engine computes

Period yield %, P-NAV %, and total return %, plus distribution and price change flags.

Claude AI writes your brief

Proprietary computed data feeds Claude for a weekly digest — optionally emailed to Pro subscribers.

Choose your plan

Free tier includes Assets and calculator. Pro unlocks full dashboard, AI briefs, and snapshots.

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  • Full Assets page — distribution data
  • Investment calculator
  • Education resource hub
  • Top 20 ETFs on rolling metrics dashboard
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