Securities
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IncomeShares Amazon (AMZN) Options ETP

XS2901884408 · AMZYAMSAMZDLSE-GBPAMZILSE-USDOAMZXETRA · US · Financials · CoveredCallETF

IncomeShares Amazon (AMZN) Options ETP is an exchange-traded product that seeks to generate income by writing covered call options on Amazon.com (AMZN) shares, while maintaining exposure to the underlying stock. The product is designed to deliver regular monthly distributions derived from option premiums collected on the Amazon position. It is listed and traded on European exchanges and targets income-focused investors seeking yield from one of the world's largest technology and e-commerce companies.

Dividend Yield

48.70%

TTM · LSE-USD

Last Dividend

0.20

USD · 2026-09-01

5Y Growth

CAGR

Frequency

Monthly

Years Paid

3

consecutive

Not Cut

2

consecutive yrs

Grown

2

consecutive yrs

Listings

Exchange Ticker Currency Yield TTM
AMS
AMZY EUR
LSE-GBP
AMZD GBP
LSE-USD primary
AMZI USD 48.70%
XETRA
OAMZ EUR

Total Return

Starting Amount 10'000 USD
Price Gain −1'390 USD
Dividends +4'193 USD
Total Return +28.03%
CAGR +28.05%
End Balance 12'803 USD

Based on 10,000 invested at the start of the period. Price return uses split-adjusted closing prices. Dividends are not reinvested.

Annual Dividends

2026 USD 2.74
2024
2025
2026

Annual dividend per share · 3 years of data

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Dividend Yield History

Loading yield history…
0.0%3.3%6.7%10.0%

Dividend History

Ex-Date Pay-Date Amount Type
01.09.202609.09.20260.20 USDOrdinary
03.08.202612.08.20260.38 USDOrdinary
01.07.202610.07.20260.21 USDOrdinary
01.06.202610.06.20260.31 USDOrdinary
05.05.202612.05.20260.38 USDOrdinary
01.04.202610.04.20260.20 USDOrdinary
02.03.202611.03.20260.37 USDOrdinary
02.02.202611.02.20260.48 USDOrdinary
02.01.202613.01.20260.21 USDOrdinary
01.12.202510.12.20250.29 USDOrdinary
03.11.202512.11.20250.44 USDOrdinary
01.10.202510.10.20250.19 USDOrdinary
01.09.202510.09.20250.11 USDOrdinary
01.08.202512.08.20250.13 USDOrdinary
01.07.202510.07.20250.07 USDOrdinary
02.06.202511.06.20250.10 USDOrdinary
01.05.202512.05.20250.29 USDOrdinary
01.04.202510.04.20250.14 USDOrdinary
03.03.202512.03.20250.20 USDOrdinary
03.02.202512.02.20250.07 USDOrdinary
02.01.202513.01.20250.09 USDOrdinary
02.12.202411.12.20240.12 USDOrdinary
01.11.202412.11.20240.27 USDOrdinary