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NASDAQ · GOLY

Strategy Shares - Strategy Shares Gold Enhanced Yield ETF

Financial Services · Asset Management

$25.46

Up+$0.03 (+0.11%)

Updated Sep 16, 2026, 6:28 AM

SID Score

3.1/10

Composite research score

Smart Money

Institutional and insider signal

Market cap
6.02M
P/E ratio
Dividend yield
7.49%
52-week range
$24.15 – $38.00
Volume
13.62K
Avg. volume
93.77K

Price performance

GOLY price history

1M range · 20 trading sessions · Daily adjusted prices

GOLY closed at $25.46 after 20 trading sessions, down 4.08% for the selected period.

Last close
$25.46
Period change
-4.08%
Period low
$25.46
Period high
$28.52
Daily close
View OHLC price history
GOLY OHLC price history, latest 40 sessions
DateOpenHighLowCloseVolume
Sep 15, 2026$25.54$25.54$25.25$25.464413.62K
Sep 14, 2026$25.30$25.7661$25.29$25.50312.2K
Sep 11, 2026$26.16$26.40$25.82$25.8412.43K
Sep 10, 2026$26.321$26.36$25.76$25.963419.22K
Sep 9, 2026$26.72$26.80$26.37$26.6610.86K
Sep 8, 2026$26.47$26.81$26.3955$26.39557.79K
Sep 4, 2026$26.19$27.06$26.19$26.850211.6K
Sep 3, 2026$26.82$27.345$26.82$27.13587.47K
Sep 2, 2026$26.22$26.6828$26.22$26.599.84K
Sep 1, 2026$26.33$26.7251$26.04$26.16111.51K
Aug 31, 2026$27.07$27.072$26.7781$27.020717.37K
Aug 28, 2026$27.91$28.41$26.9905$27.229414.61K
Aug 27, 2026$28.26$28.26$27.79$28.05315.79K
Aug 26, 2026$28.07$28.55$27.9205$28.3042.19K
Aug 25, 2026$28.48$28.65$28.1388$28.518916.62K
Aug 24, 2026$28.71$28.71$28.20$28.391611.98K
Aug 21, 2026$27.65$28.17$27.65$28.079717.93K
Aug 20, 2026$27.00$27.83$27.00$27.631785.06K
Aug 19, 2026$26.56$27.692$26.56$27.69222.68K
Aug 18, 2026$26.77$27.0499$26.5001$26.548414.29K

Latest GOLY news

The latest Smart Investors Daily articles mentioning GOLY.

GOLY research

Overview

Company profile and research snapshot.

Company profile

GOLY aims to provide monthly distributions through a diversified portfolio of bonds, gold, and commodities. However, these payments may include a return of capital rather than net profits. Investments consist of USD-denominated corporate bonds and US Treasuries, maintaining investment-grade credit quality through quantitative metrics and fundamental analysis. Simultaneously, it hedges against inflation and currency risks via total return swaps on near-month gold futures. Lastly, it uses a long/short approach to energy, industrial metals, and precious metals commodities, capitalizing on market inefficiencies. Using leverage, the fund achieves 200% notional exposure, with 100% to bonds and 100% to gold and commodities. A portion of the strategy is executed through a Cayman Islands subsidiary, which manages swaps and collateral. Note that using leverage magnifies potential gains and losses, particularly in volatile markets. Before Feb 1, 2024, the fund traded under the ticker GLDB.

Analyst outlook

Consensus and target data currently published for this company.

Consensus
Average target
Implied upside
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