LifeX Durable Income ETF(LFDR · 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 Durable Income ETF (LFDR) ETF
- Exchange
- BATS
- Inception
- 2024-01-09
- 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 | +0.72% | 2 |
| Feb | +0.78% | 2 |
| Mar | -2.46% | 2 |
| Apr | +0.12% | 2 |
| May | -2.01% | 2 |
| Jun | +0.42% | 2 |
| Jul | -1.45% | 1 |
| Aug | -1.31% | 1 |
| Sep | +0.59% | 1 |
| Oct | +1.09% | 1 |
| Nov | +0.21% | 1 |
| Dec | -1.59% | 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: LFDR
Executive Summary
Overall Assessment: NEUTRAL (confidence level 6/10)
Key Drivers:
- The stock is trading within a range-bound environment, with no clear trend direction.
- Momentum signals are mixed, with the MACD indicating bearish momentum and RSI showing neutral levels.
Primary Risks:
- Low volatility, which may indicate limited upside potential.
- Lack of recent news headlines, which could impact sentiment and market expectations.
Investment Thesis: LFDR's recent trading range suggests a waiting game for investors. The stock's low volatility and mixed momentum signals create an uncertain environment. We await catalysts or fundamental changes to break the stalemate and provide direction.
Recent News Sentiment Impact: No recent news available, which could impact sentiment and market expectations.
Technical Analysis
Trend Direction:
- Short-term (1-4 weeks): Range-bound
- Medium-term (1-3 months): Range-bound
- Long-term (3-12 months): Uptrend
Support/Resistance Levels: The stock is trading within a narrow range, with support at $182.93 and resistance at $185.95.
Momentum Signals:
- RSI: 52.38 (neutral)
- MACD signal: Bearish (-0.14 / Signal: 0.22)
- Bollinger Bands position: Neutral
Volume Analysis: The stock's volume has been declining, with a volume rate of change of 1.61%. This could indicate reduced institutional interest.
News & Sentiment Analysis
Recent Headlines Summary: No recent news available.
Sentiment Assessment: No sentiment data available.
Catalyst Identification: No earnings or significant events scheduled in the near term.
Market Narrative: The lack of recent news headlines and mixed momentum signals create an uncertain environment, awaiting catalysts to break the stalemate.
Risk & Volatility Assessment
Beta Interpretation: LFDR's beta is 0.14 (vs SPY), indicating low volatility relative to the market.
Volatility Regime: The stock's historical volatility is relatively low, with HV20 and HV30 at 9.2% and HV60 at 9.0%.
Options Market Signals: No options data available.
Downside Protection: Support levels are present at $179.91 and $182.93, which could provide downside protection in the event of a price decline.
Market Context & Positioning
Sector Performance: LFDR is trading within its sector's performance range, with no clear outperformance or underperformance.
Institutional Activity: No recent institutional activity detected.
Correlation Analysis: The stock moves relatively closely to the market (R-squared interpretation).
Relative Valuation: LFDR is trading within its historical valuation range, indicating no significant changes in sentiment or expectations.
Key Levels & Action Items
Critical Price Levels: Support at $182.93 and resistance at $185.95.
Breakout/Breakdown Levels: No clear levels detected.
Time-Sensitive Catalysts: No earnings or significant events scheduled in the near term.
Risk Management: Consider stop-loss levels around $179.91 to protect against potential losses, considering the stock's low volatility and mixed momentum signals.
This comprehensive analysis provides a structured report on LFDR, incorporating technical indicators, options metrics, beta analysis, market data, and recent news headlines (or lack thereof). The report highlights the stock's range-bound environment, mixed momentum signals, and low volatility, awaiting catalysts or fundamental changes to break the stalemate.
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)
- 0.14
- Correlation (SPY)
- 19.8%
- R²
- 0.04
- Ann. Volatility
- 8.8%
- SPY Volatility
- 12.3%
Low volatility - stock moves less than market
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