Fact Sheet Summary Prospectus How to buy ETFs Compare Fund NAV As of10/02/2024 $53.98 Change$0.04 YTD As of10/02/2024 at NAV16.53% 30 DAY SEC YIELD As of08/31/2024 12.46% Unsub.12.46% EXPENSES Gross0.35% Net0.35% Seeking consistent premium income with lower volatil...