LifeX 2055 Longevity Income ETF(LFAO · ETF)
ETF quote, holdings, sector allocation, technicals, and options analytics.
Market data may be delayed, incomplete, or inaccurate. Not a recommendation to buy, sell, or hold any security. Verify quotes with your broker before trading. See Terms §17.
LifeX 2055 Longevity Income ETF (LFAO) ETF
- Exchange
- BATS
- Inception
- 2024-01-08
- Has Options
- No
| Ex-Date | Pay Date | Amount | Type |
|---|---|---|---|
| 2026-06-02 | 2026-06-03 | $0.8333 | CD |
| 2026-05-04 | 2026-05-05 | $0.8333 | CD |
| 2026-04-02 | 2026-04-06 | $0.8333 | CD |
| 2026-03-03 | 2026-03-04 | $0.8333 | CD |
| 2026-02-03 | 2026-02-04 | $0.8333 | CD |
| 2026-01-05 | 2026-01-06 | $0.8333 | CD |
| Month | Avg Return | Years of Data |
|---|---|---|
| Jan | -0.23% | 2 |
| Feb | +1.66% | 2 |
| Mar | -1.45% | 2 |
| Apr | -1.78% | 2 |
| May | -0.64% | 2 |
| Jun | +1.10% | 2 |
| Jul | -1.40% | 1 |
| Aug | -0.66% | 1 |
| Sep | -2.14% | 2 |
| Oct | -2.02% | 2 |
| Nov | +1.29% | 2 |
| Dec | -2.02% | 2 |
Quick-reference for reading the values below. Indicators combine to confirm a view — no single one is a trade signal on its own.
- SMA 20 / 50 / 200 — price above = uptrend, below = downtrend. SMA 50 crossing SMA 200 is the golden/death cross.
- EMA 12 / 26 — faster-reacting averages; 12 above 26 is short-term bullish.
- MACD — bullish when MACD > signal (green badge), bearish when below. Divergence from price often precedes reversals.
- ADX (14) — trend strength regardless of direction. <20 range, 20–25 weak trend, 25–50 trend, >50 strong trend.
- +DI / −DI — +DI > −DI favors bulls; the reverse favors bears. Read alongside ADX.
- RSI (14) — <30 oversold, >70 overbought. 40–60 is neutral; trending names can stay extreme.
- Stochastic %K / %D — <20 oversold, >80 overbought. %K crossing %D is an early momentum signal.
- Williams %R — inverted scale: <−80 oversold, >−20 overbought.
Oscillators work best in range-bound markets; in strong trends they give premature reversal signals.
- Bollinger Bands — price at upper band = overbought, lower = oversold. Narrow bands (squeeze) often precede expansion.
- OBV — cumulative volume; rising OBV confirms uptrend, falling OBV confirms downtrend. Divergence from price is a warning.
- Vol SMA 20 / Vol ROC — today's volume vs. 20-day average. Positive ROC with price move = conviction.
- ATR / True Range — average daily $ move; sizing and stop-loss reference.
- HV 20 / 30 / 60 — realized (historical) volatility. Compare to IV on the options cards: IV > HV = rich premium.
Confluence matters: trend + momentum + volume agreeing carries far more weight than any single indicator. For how these feed the spread scanner score, see the algorithm docs →
Trend Indicators
Momentum Oscillators
Volume & Volatility
Data Summary
LLM Stock Analysis Report
Executive Summary
Overall Assessment: NEUTRAL (Confidence Level: 6/10)
Key Drivers:
- The stock has been range-bound, with no significant trends or momentum signals.
- Low volatility indicates a relatively stable market environment.
Primary Risks:
- No recent news headlines available to drive price action.
- Lack of earnings data and options activity limits the ability to gauge sentiment and potential catalysts.
Investment Thesis: The stock's current neutral state makes it an attractive candidate for mean reversion or breakout trades, pending the emergence of a significant catalyst.
Recent News Sentiment Impact: None (no recent news headlines available)
Technical Analysis
Trend Direction: Neutral (No clear trend)
Support/Resistance Levels:
- Upper Bollinger Band: $164.73
- Middle Line (SMA 50): $164.02
- Lower Bollinger Band: $160.35
Momentum Signals:
- RSI (14): 51.13 (neutral)
- MACD: -0.23 / Signal: 0.16 / Histogram: -0.39 (bearish)
Volume Analysis: Low volume, no significant institutional interest signals.
News & Sentiment Analysis
Recent Headlines Summary: None available
Sentiment Assessment: Neutral (no recent news headlines)
Catalyst Identification: No earnings data or options activity to gauge sentiment and potential catalysts.
Market Narrative: The absence of recent news highlights the importance of technical analysis in this neutral market environment.
Risk & Volatility Assessment
Beta Interpretation: Low risk relative to the market (beta: 0.13)
Volatility Regime: Low volatility, with no significant changes in recent periods.
Options Market Signals: No options data available.
Downside Protection: Support levels and risk management considerations will be critical if price breaks below the Lower Bollinger Band.
Market Context & Positioning
Sector Performance: Neutral (no clear sector leader)
Institutional Activity: Low volume, no significant institutional interest signals.
Correlation Analysis: The stock's movements are less correlated with market movements than other stocks in its sector.
Relative Valuation: The stock is trading within a relatively tight range, making it difficult to determine its value relative to its peers or the broader market.
Key Levels & Action Items
Critical Price Levels:
- Upper Bollinger Band: $164.73
- Middle Line (SMA 50): $164.02
- Lower Bollinger Band: $160.35
Breakout/Breakdown Levels: None evident at this time.
Time-Sensitive Catalysts: No earnings data or options activity to gauge sentiment and potential catalysts.
Risk Management: Stop-loss levels will be critical if price breaks below the Lower Bollinger Band, while profit targets can be set around the Upper Bollinger Band.
Each spread is ranked by a composite score built in three stages. Full documentation →
score = P(profit) × (credit / spread_width)
P(profit) from short leg delta (1 − |delta|), penalised above 85%. Credit uses mid-price to handle illiquid chains fairly.
RR25 and BF25 from the live options chain. Put skew boosts bull puts, penalises bear calls. High butterfly boosts iron condors. Calendars are skew-neutral.
- RSI <40 bullish / >60 bearish
- MACD crossover + histogram trend
- Price vs SMA 50 & SMA 200
- Stochastic %K <20 / >80
- Williams %R <−80 / >−20
- Blended ATR + straddle expected-move penalty
- Bollinger Band signal (+ counter-trend penalty)
- BB width — vol contraction boost for ICs
- IV rank ≥ 75 → strong boost for credit spreads
- IV rank < 25 → penalty (selling cheap vol)
- Min open interest across all legs
- OI < 100 → −0.10 · OI < 500 → −0.05
score = base_score × skew_multiplier × tech_multiplier
Both multipliers are shown per spread. Beta is informational only — ATR already captures realized vol. Full algorithm documentation →
Enter a ticker to scan for optimal spread opportunities.
Evaluates all bull put, bear call, iron condor, and calendar spread combinations using GPU-accelerated analysis.
Enter a ticker to render the implied volatility surface.
- Beta (1Y vs SPY)
- 0.13
- Correlation (SPY)
- 19.4%
- R²
- 0.04
- Ann. Volatility
- 8.3%
- SPY Volatility
- 12.3%
Low volatility - stock moves less than market
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