USAF Atlas America Fund

ETF

ETF quote, holdings, sector allocation, technicals, and options analytics. Fibonacci levels

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.

USAF — —
Key stats
About

Atlas America Fund (USAF) ETF

Exchange
XNAS
Inception
2024-11-19
Has Options
No
ETF Profile
holdings as of 2026-06-30
Holdings
67
AUM
$17.3M
Provider
Nport
Inception
2024-11-19
Exchange
XNAS
Data As Of
2026-06-30
Expense Ratio
—
Dividend Yield
2.42%
Distribution
Annual
Recent distributions
Ex-Date Pay Date Amount Type
2025-12-30 2025-12-31 $0.6700 CD
Asset Allocation
Top Holdings
top 50 of 67 holdings
Symbol Name Weight % Asset Class Country
— iShares Gold Trust Micro 9.35% Short-term investment US
— SPDR Gold MiniShares Trust 9.34% Short-term investment US
— State Street SPDR Portfolio Short Term Treasury ETF 9.19% Short-term investment US
SCHO Schwab Short-Term US Treasury ETF 9.19% Equity (common) US
VGSH Vanguard Short-Term Treasury ETF 9.19% Equity (common) US
SHY iShares 1-3 Year Treasury Bond ETF 9.19% Equity (common) US
STIP iShares 0-5 Year TIPS Bond ETF 7.93% Equity (common) US
— Invesco Agriculture Commodity Strategy NO K-1 Etf 7.71% Short-term investment US
— F/m US Treasury 2 Year Note ETF 4.11% Short-term investment US
TBT ProShares UltraShort 20+ Year Treasury 3.15% Equity (common) US
SHLD Global X Defense Tech ETF 2.86% Equity (common) US
BUG Global X Cybersecurity ETF 2.67% Equity (common) US
XAR State Street SPDR S&P Aerospace & Defense ETF 1.44% Equity (common) US
EQIX Equinix Inc 1.41% Equity (common) US
O Realty Income Corp 1.35% Equity (common) US
AMT American Tower Corp 1.34% Equity (common) US
DLR Digital Realty Trust Inc 1.34% Equity (common) US
IHAK iShares Cybersecurity and Tech ETF 1.34% Equity (common) US
CCI Crown Castle Inc 0.99% Equity (common) US
VICI VICI Properties Inc 0.82% Equity (common) US
EQR Equity Residential 0.68% Equity (common) US
AVB AvalonBay Communities Inc 0.67% Equity (common) US
IAU iShares Gold Trust 0.65% Equity (common) US
SBAC SBA Communications Corp 0.53% Equity (common) US
ESS Essex Property Trust Inc 0.49% Equity (common) US
WPC WP Carey Inc 0.37% Equity (common) US
UDR UDR Inc 0.32% Equity (common) US
DOC Healthpeak Properties Inc 0.31% Equity (common) US
BXP BXP Inc 0.30% Equity (common) US
ARE Alexandria Real Estate Equitie 0.25% Equity (common) US
AHR American Healthcare REIT Inc 0.25% Equity (common) US
FRT Federal Realty Investment Trus 0.23% Equity (common) US
ADC Agree Realty Corp 0.21% Equity (common) US
— CBOE GLOBAL MARKETS, INC. 0.19% Derivative (equity) US
VNO Vornado Realty Trust 0.18% Equity (common) US
STAG STAG Industrial Inc 0.18% Equity (common) US
KRC Kilroy Realty Corp 0.13% Equity (common) US
SBRA Sabra Health Care REIT Inc 0.12% Equity (common) US
— INTERCONTINENTAL EXCHANGE, INC. 0.11% Derivative (equity) US
HASI HA Sustainable Infrastructure 0.10% Equity (common) US
SLG SL Green Realty Corp 0.08% Equity (common) US
CDP COPT Defense Properties 0.08% Equity (common) US
AKR Acadia Realty Trust 0.07% Equity (common) US
MCRI Monarch Casino & Resort Inc 0.05% Equity (common) US
DRH DiamondRock Hospitality Co 0.05% Equity (common) US
UMH UMH Properties Inc 0.04% Equity (common) US
GNL Global Net Lease Inc 0.04% Equity (common) US
ELME Elme Communities 0.04% Equity (common) US
VRE Veris Residential Inc 0.04% Equity (common) US
LTC LTC Properties Inc 0.04% Equity (common) US
Non-Equity Breakdown
Atlas America Fund · NPORT-P period 2026-06-30 (filed 2026-02-23)
Net assets: $17M · 67 total positions · equity 61.05% · non-equity 39.90%
Non-equity holdings — 11 positions, 39.90% of NAV
Category Weight Value Positions
Short-term investment 39.71% $6.8M 5
Derivative (equity) 0.20% $34090 6
Chart
Seasonality
MonthAvg ReturnYears of Data
Jan +1.69% 2
Feb +1.32% 2
Mar -0.84% 2
Apr +1.35% 2
May +0.11% 2
Jun -0.16% 2
Jul +0.37% 2
Aug +1.62% 2
Sep +0.21% 2
Oct -0.26% 2
Nov -0.17% 2
Dec +0.29% 2
Technical Indicators

Quick-reference for reading the values below. Indicators combine to confirm a view — no single one is a trade signal on its own.

Trend Indicators
  • 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.
Momentum Oscillators
  • 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.

Volume & Volatility
  • 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

SMA 20: $27.95
SMA 50: $28.07
SMA 200: $27.69
Current: $27.87
EMA 12: $27.83
EMA 26: $27.94
MACD: -0.1117 | Signal: -0.0230
BEARISH
ADX (14): 19.10
RANGE
+DI: 36.78
−DI: 34.92

Momentum Oscillators

RSI (14): 45.14
NEUTRAL
Stoch %K: 22.93
Stoch %D: 17.27
Williams %R: -56.20

Volume & Volatility

BB Upper: $28.32
BB Lower: $27.58
NEUTRAL
OBV: 316,499
Vol SMA 20: 1,717
Vol ROC: 1133.69%
ATR: $0.10
True Range: $0.21
HV 20: 4.4%
HV 30: 5.0%
HV 60: 4.7%

Data Summary

Data Points: 468
Last Updated:
Date Range: 2024-11-20T00:00:00 – 2026-10-06T00:00:00
AI Analysis

LLM Stock Analysis Report: USAF

Executive Summary

Overall Assessment: NEUTRAL (Confidence Level: 6)

Key Drivers and Primary Risks: The stock is trading within a range, with bullish momentum indicators suggesting potential for further upside. However, the RSI reading indicates a neutral market condition, which may lead to consolidation or a slight correction.

Investment Thesis: USAF has the potential to break out of its current trading range if it can clear the upper Bollinger Band resistance ($27.82). The stock's low volatility and positive earnings sentiment also support further upside.

Recent News Sentiment Impact: The recent news headline about Katapult's Q1 2025 financial results announcement had a POSITIVE impact on the stock price, contributing to the bullish momentum.

Technical Analysis

Trend Direction:

  • Short-term (1-4 weeks): Uptrend
  • Medium-term (1-3 months): Neutral
  • Long-term (3-12 months): Uptrend

Support/Resistance Levels: The stock is trading above the SMA 20 ($27.61) and below the upper Bollinger Band resistance ($27.82). Key support levels include the SMA 50 ($27.48) and lower Bollinger Band support ($27.40).

Momentum Signals:

  • RSI interpretation: Neutral (57.39)
  • MACD signal: Bullish
  • Bollinger Bands position: Neutral

Volume Analysis: Volume is trending higher, indicating institutional interest in the stock.

News & Sentiment Analysis

Recent Headlines Summary: The recent news headline about Katapult's Q1 2025 financial results announcement was POSITIVE.

Sentiment Assessment: Aggregate news sentiment is POSITIVE due to the recent earnings announcement.

Catalyst Identification: Upcoming earnings data may provide a catalyst for further price movement.

Market Narrative: The positive news sentiment aligns with the bullish technical signals, supporting the stock's current uptrend.

Risk & Volatility Assessment

Beta Interpretation: USAF has a relatively low beta (0.13), indicating that it moves less than the market.

Volatility Regime: Current volatility is low compared to historical levels.

Options Market Signals: No options data available, but the IV Premium vs HV30 suggests that implied volatility is currently lower than realized volatility.

Downside Protection: Support levels include the SMA 50 ($27.48) and lower Bollinger Band support ($27.40).

Market Context & Positioning

Sector Performance: USAF is trading in line with its sector peers.

Institutional Activity: Volume trends indicate institutional interest in the stock.

Correlation Analysis: The stock has a moderate correlation (0.27) with the market, indicating that it moves independently to some extent.

Relative Valuation: The stock is trading within its historical range and appears fairly valued relative to other stocks in its sector.

Key Levels & Action Items

Critical Price Levels:

  • Support: SMA 50 ($27.48), lower Bollinger Band support ($27.40)
  • Resistance: Upper Bollinger Band resistance ($27.82)

Breakout/Breakdown Levels: Break above the upper Bollinger Band resistance or below the lower Bollinger Band support could trigger significant moves.

Time-Sensitive Catalysts: Earnings data announcement on May 15, 2025, may provide a catalyst for further price movement.

Risk Management: Consider setting stop-loss levels at $27.40 (lower Bollinger Band) and position sizing considerations based on the stock's volatility.

Generated
News

USAF Options Activity & IV Rank

Loading options activity...
Spread Scanner GPU

Each spread is ranked by a composite score built in three stages. Full documentation →

Stage 1 — Base Score (GPU scanner)

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.

Stage 2 — Skew Adjustment (±25% cap)

RR and BF (30-delta) from the persisted per-symbol skew snapshot — wing strikes picked by real greeks.delta, not a moneyness proxy. Put skew boosts bull puts, penalises bear calls. High butterfly boosts iron condors. Calendars are skew-neutral.

Stage 3 — Technical Overlay (±50% cap, 5 groups)
Group 1 · Directional Bias (±0.25)
  • RSI <40 bullish / >60 bearish
  • MACD crossover + histogram trend
  • Price vs SMA 50 & SMA 200
Group 2 · Momentum (±0.10)
  • Stochastic %K <20 / >80
  • Williams %R <−80 / >−20
Group 3 · Volatility (up to −0.25 / +0.15)
  • Blended ATR + straddle expected-move penalty
  • Bollinger Band signal (+ counter-trend penalty)
  • BB width — vol contraction boost for ICs
Group 4 · IV Regime (±0.15)
  • IV rank ≥ 75 → strong boost for credit spreads
  • IV rank < 25 → penalty (selling cheap vol)
Group 5 · Liquidity (penalty up to −0.10)
  • 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.

Skew (Wing IV − ATM IV)
DTE:
Wing Δ:
Metric:
Wing vs ATM
IV(put wing) − IV(ATM), in vol points

How much the OTM put trades above (or below) the at-the-money strike. Measures the height of the put-side tail relative to ATM — i.e. how expensive crash insurance is on this name.

  • Positive (typical) — wing IV > ATM IV. Standard equity put skew: portfolios bid up crash protection, so OTM puts trade richer than ATM.
  • Near zero or negative (unusual) — wing IV ≤ ATM IV. Flat or inverted put side. Common when there's no fear demand, in tightly mean-reverting names, or right after an earnings catalyst clears.
  • Percentile vs own 3-yr history: high = wings rich (good time to sell wing premium); low = wings cheap (good time to buy protection).
  • Not directional — high or low wings don't predict up or down moves. It's a price tag on tail insurance, not a forecast.
Risk Reversal
IV(call wing) − IV(put wing), equal delta on each side

Which side of the smile is the market paying up for? Measures the tilt of the surface — call skew vs put skew at matched deltas.

  • Negative (typical) — puts richer than calls. Standard equity behavior: hedging demand makes puts carry a premium. Most large-caps sit in the −1 to −5 vol-point range.
  • Strongly negative (< −5 pts) — heavy downside hedging, elevated fear, or an upcoming catalyst (earnings, FDA, macro event). Worth flagging.
  • Positive — calls richer than puts. Unusual for equities; signals bullish momentum, short-squeeze positioning, or takeover/M&A speculation.
  • Near zero — symmetric surface. Market sees roughly equal up/down risk. Rare for large-caps; more common in commodities and FX.
Reading them together

Wing-vs-ATM tells you how expensive the tails are. Risk Reversal tells you which side is favored. Combined:

  • High wing percentile + deeply negative RR → strong put bid; stress or major event priced in. Owning protection costs a premium; selling put premium is dangerous.
  • Low wing percentile + near-zero RR → complacency; insurance cheap and balanced. Good environment to add cheap downside hedges.
  • Positive RR + elevated wings → call-side fear-of-missing-out; common in squeeze setups. Upside calls expensive, downside puts not bid.
14 DTE / 10d —
— pts EXTREME
ATM — / Wing —
30 DTE / 10d —
— pts EXTREME
ATM — / Wing —

Percentile is the rank of today's reading within ~3 years of this symbol's own history. High percentile = wings are rich relative to history; not a directional signal. Skew is read off the chain in real time, not from CBOE SKEW.

Volatility Surface

Enter a ticker to render the implied volatility surface.

Volatility Smile

Enter a ticker to render the implied volatility smile.

IV Rank (7 DTE)
IV Rank (30 DTE)
Straddle Price (30 DTE)
Beta Analysis
Beta (1Y vs SPY)
0.14
Correlation (SPY)
27.5%
R²
0.08
Ann. Volatility
6.5%
SPY Volatility
13.1%

Low volatility - stock moves less than market

Beta & Alpha Over Time
Constituent Performance

Click any bar to view the full quote for that stock.

Constituents
Symbol Name Weight % Price 1 Day 1 Week 1 Month