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Chicago Board Options Exchange
Previous close
$28.5253
$0.00 · 0.00%
Sep 15, 9:46 AM ET
Historical prices · Market data may be delayed.
AJAN invest all of its assets in FLEX options. The option positions are structured in a way that aims to provide long exposure to US large-cap stocks, up to a cap, while fully hedging downside risk over a two-year period. The upside cap and hedge are reset every other year, at the beginning of December. Shareholders should note they will not receive any dividends, the objective focuses on the potential growth. The specific defined outcome pursued may only be possible if an investor were to hold the shares for the entire outcome period. However, there is no guarantee the define outcome of the strategy pursued will be realized by investors. When factoring risks, potential reward, and the all-in costs for such a strategy, AJAN is considered an alternative to more expensive fixed indexed annuities, market linked CDs, holding near-term Treasury, or cash. For comparative purposes, AJAN investors need to double the stated expense ratio of the fund.
Fund assets
42.89M USD
Expense ratio
0.79%
NAV
$28.59
Average volume
2.73K
Volume
15
Day range
$28.505 – $28.5253
52-week range
$27.34 – $28.66
Previous close
$28.5253
Price change
1 day
0.00%
1 month
-0.37%
3 months
+0.30%
Year to date
+2.42%
1 year
+4.03%
3 years
+17.15%
5 years
+17.15%
Price changes exclude distributions, fees, taxes, and investor-specific cash flows.
Portfolio
Holdings data updated Sep 16, 2026.
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ETF data may be delayed, incomplete, or revised. Holdings and exposures change over time. Historical performance does not guarantee future results. This page is for informational and educational purposes only and does not constitute investment advice or a recommendation.