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Hedged Equity Premium Income ETF

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Overview

Inception Date

12.11.2025

Type

Active Equity ETF

CUSIP

85917K454

Primary Exchange

CBOE BZX Exchange, Inc.

Ticker Benchmarks Expense Ratio NAV Closing Market Price Premium/Discount 30-Day Median
Bid/Ask Spread
Fact Sheet
SCEP Bloomberg 500 Index (Equity)
Bloomberg 3-Month U.S. Treasury Bill Index (Options)
0.65% $24.94 $24.97 $0.03 0.0016% PDF

The performance data quoted here represents past performance. Current performance may be lower or higher than the performance data quoted above. Past performance is no guarantee of future results. The investment return and principal value of an investment will fluctuate so that investor's shares, when redeemed, may be worth more or less than their original cost. For performance information current to the most recent month-end, please call toll-free 888-637-7798

30-Day Median Bid-Ask Spread is defined as the average difference between the highest price a buyer is willing to pay and the lowest price the seller is willing to accept, over the past 30 days.

Investment Objective

The Sterling Capital Hedged Equity Premium Income ETF is an actively-managed ETF that seeks to provide long-term capital growth, income and preservation of capital. The Fund will pursue its investment objective by investing primarily in U.S. large- and mid-cap equity and equity-related securities. The Fund will also employ a dynamic option overlay strategy by writing covered call options and buying protective put and put spreads options on up to 100% of the Fund’s portfolio in order to generate income and mitigate (or hedge against) downside risk.

Philosophy

Equity Selection: Guardian Capital LP, the Fund’s sub-adviser (the “Sub-Adviser”), will employ a system driven bottom-up research approach to assess relative value and capital growth potential within a broad stock selection universe. The Fund maintains a mid- to large-capitalization bias and typically invests in a range of sectors and geographic regions. The Sub-Adviser seeks to isolate stock selection as the primary source of capital appreciation.

The Sub-Adviser will use a quantitative approach, including the use of artificial intelligence (“AI”) technology such as machine learning, deep learning and large language models, to analyze multiple fundamental and alternative factors and incorporate financial data and other information relevant to the issuer. Such factors considered by the Sub-Adviser include quantitative measures, such as AI driven predicted earnings growth, predicted dividend growth, predicted volatility, and valuation, as well as traditional factors such as historical earnings growth, momentum, relative price strength, value, size, quality, and potential for debt reduction. The Sub-Adviser will seek out companies that it believes have potential for capital growth. The Sub-Adviser may also seek a sustainable dividend yield, placing particular focus on dividend growth and dividend quality in making its assessments. The Sub-Adviser may also consider environmental, social and governance (“ESG”) factors as part of the investment process.

Options Overlay: To generate income in addition to the dividends received from the Fund’s investment in equities and to mitigate (or hedge against) downside risk, the Sub-Adviser will employ a dynamic option overlay strategy including covered call options and protective put options.

Under the covered call option strategy, the Sub-Adviser will generally write “out-of-the-money” call options on up to approximately 100% of the value of the Fund’s portfolio.  The Sub-Adviser may write covered call options on a lesser percentage of the portfolio, based on its discretion and market outlook. The amount of cash flow generated by the covered call option writing strategy will be dependent on market prices and the volatility of the underlying common stocks at the time of each sale.  In addition, the Sub-Adviser will seek to mitigate (or hedge against) downside risk in the portfolio by employing a protective put option strategy for capital preservation. The Fund employs these strategies to reduce exposure to market declines and to generate additional income, while recognizing that the Fund may not fully benefit from strong equity market growth.

In general, an option contract gives the purchaser of the option contract the right to purchase (for a call option) or sell (for a put option) the underlying asset at a specified price (the “strike price”), or for cash settled options, deliver cash equal to the difference in value of an underlying asset and the strike price. In exchange for selling the right to buy or sell the particular reference asset, the seller of an option contract receives income from the purchaser (i.e., a “premium”).

Hedged Equity Premium Income ETF

Management

View professional designations disclosures

Photo of Srikanth (Sri)  Iyer

Srikanth (Sri) Iyer

Co-Portfolio Manager

Photo of Dino Bourdos

Dino Bourdos

Co-Portfolio Manager

Performance

Performance as of 06.01.2026

Term 1 Day 1 Mo. 3 Mo. 6 Mo. 1 Yr. QTD YTD Since Inception
NAV -0.17% 1.48% 3.43% - - 7.58% 3.71% 3.10%
Closing Market Price -0.01% 1.56% 3.39% - - 7.80% 3.70% 3.22%

Quarter-End Performance as of 03.31.2026

Term 1 Mo. QTR 1 Yr. Since Inception
NAV -3.85% -3.60% - -4.17%
Closing Market Price -4.09% -3.80% - -4.25%

The performance data quoted here represents past performance. Current performance may be lower or higher than the performance data quoted above. Past performance is no guarantee of future results. The investment return and principal value of an investment will fluctuate so that investor's shares, when redeemed, may be worth more or less than their original cost. For performance information current to the most recent month-end, please call toll-free 888-637-7798

30-Day Median Bid-Ask Spread is defined as the average difference between the highest price a buyer is willing to pay and the lowest price the seller is willing to accept, over the past 30 days.

Historical Premium/Discount

Term Cal. Yr. 2025 Q3 2025 Q4 2025 Q1 2026 Q2 2026
Days at premium 11 - 11 43 28
Days at discount 1 - 1 16 13

The Premium/Discount shows the difference between the daily market price of the Fund’s shares and the Fund’s net asset value (“NAV”). Beginning November 2, 2020, market price data will be reflecting the official closing price. Prior to November 2, 2020, market price data is shown as the midpoint price. The midpoint is the average of the bid-ask prices at 4:00 PM ET (when NAV is normally determined for most funds). The table shows the premium or discount of the Mid-Point price as a percentage of the NAV as well as the number of trading days the Fund traded within the given premium/discount range. This data is provided for information purposes only and is not intended for trading purposes. Past performance does not guarantee future results.

Portfolio Holdings as of 06.01.2026

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CUSIP Description Quantity Price Portfolio Weight
11135F101 BROADCOM INC 34,196 $459.97 6.71%
67066G104 NVIDIA CORP 68,655 $224.36 6.57%
037833100 APPLE INC 48,558 $306.31 6.35%
02079K305 ALPHABET INC-A 38,535 $376.37 6.19%
023135106 AMAZON.COM INC 45,231 $261.26 5.04%
594918104 MICROSOFT CORP 21,550 $460.52 4.23%
512807306 LAM RESEARCH 23,409 $317.12 3.17%
46625H100 JPMORGAN CHASE 25,012 $296.58 3.16%
22160K105 COSTCO WHOLESALE 5,918 $946.11 2.39%
30303M102 META PLATFORMS-A 9,126 $600.47 2.34%
701094104 PARKER HANNIFIN 6,196 $823.30 2.18%
609839105 MONOLITHIC POWER 3,156 $1,542.39 2.08%
29444U700 EQUINIX INC 4,526 $1,050.77 2.03%
969457100 WILLIAMS COS INC 66,585 $70.04 1.99%
032654105 ANALOG DEVICES 10,872 $402.69 1.87%
452308109 ILLINOIS TOOL WO 17,639 $245.81 1.85%
92826C839 VISA INC-CLASS A 13,263 $322.77 1.83%
009158106 AIR PRODS & CHEM 14,699 $278.89 1.75%
68389X105 ORACLE CORP 16,384 $248.15 1.73%
92537N108 VERTIV HOLDING-A 12,498 $323.39 1.72%
001055102 AFLAC INC 33,554 $112.11 1.60%
032095101 AMPHENOL CORP-A 25,291 $146.34 1.58%
416515104 HARTFORD INSURAN 26,115 $126.57 1.41%
H1467J104 CHUBB LTD 10,583 $309.78 1.40%
00287Y109 ABBVIE INC 14,870 $212.93 1.35%
478160104 JOHNSON&JOHNSON 13,974 $223.51 1.33%
92939U106 WEC ENERGY GROUP 28,678 $108.60 1.33%
31423R500 FEDERATED HERMES MM TREAS 3,091,732 $100.00 1.32%
437076102 HOME DEPOT INC 9,917 $310.69 1.31%
64110L106 NETFLIX INC 32,725 $85.85 1.20%
127387108 CADENCE DESIGN 6,615 $414.16 1.17%
532457108 ELI LILLY & CO 2,397 $1,082.20 1.11%
09857L108 BOOKING HOLDINGS 15,028 $169.25 1.09%
237194105 DARDEN RESTAURAN 12,506 $201.91 1.08%
824348106 SHERWIN-WILLIAMS 8,453 $294.86 1.06%
931142103 WALMART INC 21,321 $114.60 1.04%
620076307 MOTOROLA SOLUTIO 5,887 $411.58 1.03%
031162100 AMGEN INC 6,987 $329.13 0.98%
742718109 PROCTER & GAMBLE 16,181 $140.28 0.97%
94106L109 WASTE MANAGEMENT 10,666 $212.51 0.97%
872540109 TJX COS INC 14,700 $152.75 0.96%
760759100 REPUBLIC SVCS 11,022 $200.83 0.94%
92840M102 VISTRA CORP 13,609 $154.76 0.90%
580135101 MCDONALDS CORP 7,345 $276.11 0.87%
81762P102 SERVICENOW INC 15,081 $135.86 0.87%
69608A108 PALANTIR TECHN-A 12,128 $160.65 0.83%
SPY P680 06/17/2027 SPY US 06/17/27 P680 756 $25.63 0.83%
384802104 WW GRAINGER INC 1,420 $1,243.03 0.75%
57636Q104 MASTERCARD INC-A 3,479 $495.25 0.74%
291011104 EMERSON ELEC CO 11,774 $141.65 0.71%
46120E602 INTUITIVE SURGIC 4,038 $412.26 0.71%
697435105 PALO ALTO NETWOR 5,427 $300.48 0.70%
031100100 AMETEK INC 7,053 $223.36 0.67%
007903107 ADV MICRO DEVICE 2,610 $510.13 0.57%
55306N104 MKS INC 3,753 $317.62 0.51%
880770102 TERADYNE INC 3,264 $369.47 0.51%
SPY P615 03/19/2027 SPY US 03/19/27 P615 756 $12.08 0.39%
USD US DOLLARS 849,989 $1.00 0.36%
SPY P620 12/18/2026 SPY US 12/18/26 P620 756 $8.41 0.27%
SPY P620 09/18/2026 SPY US 09/18/26 P620 756 $3.68 0.12%
ABBV C230 06/05/2026 ABBV US 06/05/26 C230 -118 $0.04 0.00%
ADI C460 06/05/2026 ADI US 06/05/26 C460 -86 $1.15 0.00%
AFL C120 06/05/2026 AFL US 06/05/26 C120 -267 $0.25 0.00%
AME C260 06/18/2026 AME US 06/18/26 C260 -56 $0.73 0.00%
AMGN C355 06/05/2026 AMGN US 06/05/26 C355 -55 $0.20 0.00%
AMZN C300 06/05/2026 AMZN US 06/05/26 C300 -360 $0.03 0.00%
APD C330 06/18/2026 APD US 06/18/26 C330 -118 $0.03 0.00%
BKNG C210 06/05/2026 BKNG US 06/05/26 C210 -120 $0.05 0.00%
CB C350 06/18/2026 CB US 06/18/26 C350 -85 $0.30 0.00%
COSTC1120 06/05/2026 COST US 06/05/26 C1120 -47 $0.05 0.00%
EMRC152.5 06/05/2026 EMR US 06/05/26 C152.5 -93 $0.48 0.00%
EQIXC1170 06/18/2026 EQIX US 06/18/26 C1170 -36 $2.40 0.00%
GOOGLC430 06/05/2026 GOOGL US 06/05/26 C430 -306 $0.04 0.00%
GWW C1360 06/18/2026 GWW US 06/18/26 C1360 -11 $2.40 0.00%
HD C365 06/05/2026 HD US 06/05/26 C365 -79 $0.05 0.00%
ISRG C500 06/05/2026 ISRG US 06/05/26 C500 -32 $2.40 0.00%
ITW C280 06/18/2026 ITW US 06/18/26 C280 -141 $0.46 0.00%
JNJ C250 06/05/2026 JNJ US 06/05/26 C250 -111 $0.01 0.00%
JPM C340 06/05/2026 JPM US 06/05/26 C340 -199 $0.01 0.00%
MA C550 06/05/2026 MA US 06/05/26 C550 -27 $0.25 0.00%
MCD C320 06/05/2026 MCD US 06/05/26 C320 -58 $0.01 0.00%
META C700 06/05/2026 META US 06/05/26 C700 -72 $0.56 0.00%
MKSI C380 06/18/2026 MKSI US 06/18/26 C380 -30 $3.08 0.00%
NFLX C107 06/05/2026 NFLX US 06/05/26 C107 -260 $0.01 0.00%
PG C160 06/05/2026 PG US 06/05/26 C160 -128 $0.02 0.00%
PH C1000 06/18/2026 PH US 06/18/26 C1000 -50 $0.50 0.00%
PLTR C185 06/05/2026 PLTR US 06/05/26 C185 -96 $0.32 0.00%
RSG C230 06/18/2026 RSG US 06/18/26 C230 -88 $0.15 0.00%
SHW C340 06/18/2026 SHW US 06/18/26 C340 -68 $0.50 0.00%
TER C480 06/18/2026 TER US 06/18/26 C480 -26 $2.95 0.00%
TJX C175 06/05/2026 TJX US 06/05/26 C175 -117 $0.03 0.00%
V C355 06/05/2026 V US 06/05/26 C355 -105 $0.04 0.00%
VRT C420 06/05/2026 VRT US 06/05/26 C420 -99 $0.09 0.00%
VST C190 06/05/2026 VST US 06/05/26 C190 -108 $0.01 0.00%
WEC C120 06/18/2026 WEC US 06/18/26 C120 -229 $0.10 0.00%
WM C240 06/18/2026 WM US 06/18/26 C240 -85 $0.15 0.00%
WMT C145 06/05/2026 WMT US 06/05/26 C145 -170 $0.01 0.00%
AMD C600 06/18/2026 AMD US 06/18/26 C600 -20 $7.50 -0.01%
DRI C220 06/18/2026 DRI US 06/18/26 C220 -100 $1.28 -0.01%
HIG C145 06/18/2026 HIG US 06/18/26 C145 -209 $1.08 -0.01%
LLY C1100 06/05/2026 LLY US 06/05/26 C1100 -19 $10.90 -0.01%
MPWRC2000 06/18/2026 MPWR US 06/18/26 C2000 -25 $4.87 -0.01%
MSI C440 06/18/2026 MSI US 06/18/26 C440 -47 $2.60 -0.01%
WMB C83 06/05/2026 WMB US 06/05/26 C83 -530 $0.25 -0.01%
APH C160 06/18/2026 APH US 06/18/26 C160 -202 $2.70 -0.02%
NVDA C240 06/05/2026 NVDA US 06/05/26 C240 -546 $0.72 -0.02%
SPY P480 09/18/2026 SPY US 09/18/26 P480 -756 $1.00 -0.03%
CDNS C395 06/05/2026 CDNS US 06/05/26 C395 -52 $17.24 -0.04%
MSFT C460 06/05/2026 MSFT US 06/05/26 C460 -171 $9.30 -0.07%
SPY P480 12/18/2026 SPY US 12/18/26 P480 -756 $2.50 -0.08%
AVGO C500 06/05/2026 AVGO US 06/05/26 C500 -274 $8.70 -0.10%
LRCX C315 06/05/2026 LRCX US 06/05/26 C315 -186 $12.02 -0.10%
NOW C114 06/05/2026 NOW US 06/05/26 C114 -120 $21.80 -0.11%
AAPL C300 06/05/2026 AAPL US 06/05/26 C300 -386 $7.60 -0.13%
PANW C230 06/05/2026 PANW US 06/05/26 C230 -43 $71.94 -0.13%
SPY P480 03/19/2027 SPY US 03/19/27 P480 -756 $4.15 -0.13%
ORCL C210 06/05/2026 ORCL US 06/05/26 C210 -130 $37.30 -0.21%
SPY P530 06/17/2027 SPY US 06/17/27 P530 -756 $8.37 -0.27%
USDB US DOLLAR BROKER -1,283,735 $1.00 -0.55%
RECPAY Receivables/Payables -1,488,479 $1.00 -0.63%

Holding data is provided “as of” the date indicated. Holdings are subject to change without notice. Holdings are provided for informational purposes only and should be not be considered a recommendation to buy or sell the securities listed.

Distribution

Distribution Information as of 03.31.2026

Distribution Frequency Distribution Rate 1 12-Month Trailing Distribution Rate 2 30-Day SEC Yield 3
Monthly 7.00% N/A 0.4322%

1 Distribution Rate: The annual rate an investor would receive if the most recent fund distribution remained the same going forward. The distribution rate represents a single distribution from the Fund and is not a representation of the Fund's total return. The distribution rate is calculated by multiplying the annualized distribution rate by the current NAV, and then dividing by 12 (prorated for shortened periods).

2 12-Month Trailing Distribution Rate: Represents the Distribution Rate an investor would have received if they had held the fund over the last twelve months, assuming the most recent Ex-date NAV. To calculate the 12-Month Distribution Rate, the previous 12 distributions are summed (including income, capital gains, and return of capital during the period), and divided by the most recent Ex-date NAV (prorated for shortened periods).

3 30-Day SEC Yield: 30-Day SEC Yield is based on a formula mandated by the Securities and Exchange Commission (SEC) that calculates a fund's hypothetical annualized income, as a percentage of its assets. A security's income, for the purposes of this calculation, is based on the current market yield to maturity (in the case of bonds) or projected dividend yield (for stocks) of the fund's holdings over a trailing 30-day period. This hypothetical income will differ (at times, significantly) from the fund's actual experience; as a result, income distributions from the fund may be higher or lower than implied by the SEC yield.

Distribution History

Declaration Date Ex-Div Date Record Date Payable Date Amount
05.29.2026 06.01.2026 06.01.2026 06.03.2026 0.1468
04.30.2026 05.01.2026 05.01.2026 05.05.2026 0.1443
03.31.2026 04.01.2026 04.01.2026 04.06.2026 0.1352
02.27.2026 03.02.2026 03.02.2026 03.04.2026 0.1444
01.30.2026 02.02.2026 02.02.2026 02.04.2026 0.1462
12.29.2025 12.30.2025 12.30.2025 01.02.2026 0.0941

Distributions made by the Fund may have been classified as a return of capital and may be comprised of option premiums, dividends, capital gains, and interest payments. Please see the 19a-1 notices for a more comprehensive breakdown.

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