Purpose Bitcoin Yield ETF BTCYTSX

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BTCY Dividend Summary

Purpose Bitcoin Yield ETF tries to make bitcoin pay a distribution. It gets exposure through Purpose Bitcoin ETF and other bitcoin-linked funds. The manager writes covered calls and cash-covered puts, and option premium funds the distribution. CAD units hedge most of the U.S. dollar. Cash borrowing can add up to 25% more bitcoin. More income, a harder fall. Bitcoin itself pays nothing. The 1.43% MER is steep beside a plain equity ETF. This is for leveraged bitcoin income, not a spot tracker.

Stock Metrics

Updated: 2026-09-04
Last Close
$5.04
PE Ratio
--
EPS
--
AUM
100.04M
MER
1.43%
52-Week Range %
$5.04

Dividend Metrics

Yield
15.24%
Yield on Cost
Payout Ratio
--
Frequency
Monthly
Annual Dividend
$0.77
Next Ex-Div
2026-09-25Est.
Next Pay Date
2026-10-02Est.

Dividend History

Ex-Dividend DatePayout DateCash AmountChange / Status
2026-10-292026-11-04$0.064unconfirmed/estimated
2026-09-252026-10-02$0.064unconfirmed/estimated
2026-08-272026-09-02$0.064-24.71%
2026-07-292026-08-05$0.085
2026-06-262026-07-03$0.085
2026-05-272026-06-02$0.085
2026-04-282026-05-04$0.085
2026-03-272026-04-02$0.085
2026-02-252026-03-03$0.085
2026-01-282026-02-03$0.085
2025-12-292026-01-05$0.085
2025-11-262025-12-02$0.085
2025-10-292025-11-04$0.085
2025-09-252025-10-02$0.085
2025-08-272025-09-03$0.085
2025-07-292025-08-05$0.085
2025-06-262025-07-03$0.085
2025-05-282025-06-03$0.085
2025-04-282025-05-02$0.085
2025-03-272025-04-02$0.085
2025-02-262025-03-04$0.085
2025-01-292025-02-04$0.085
2024-12-272025-01-06$0.085
2024-11-272024-12-03$0.08561.9%
2024-10-292024-11-04$0.0525
2024-09-262024-10-02$0.0525
2024-08-282024-09-04$0.0525
2024-07-292024-08-02$0.0525
2024-06-262024-07-03$0.0525
2024-05-292024-06-04$0.0525
2024-04-262024-05-07$0.0525
2024-03-262024-04-05$0.052510.53%
2024-02-272024-03-07$0.0475
2024-01-292024-02-07$0.0475
2023-12-272024-01-08$0.0475
2023-11-282023-12-07$0.047518.75%
2023-10-272023-11-07$0.04
2023-09-272023-10-10$0.04
2023-08-292023-09-08$0.04
2023-07-272023-08-08$0.04
2023-06-282023-07-10$0.04
2023-05-302023-06-07$0.04
2023-04-262023-05-05$0.0490.48%
2023-03-292023-04-10$0.021
2023-02-242023-03-07$0.021
2023-01-272023-02-07$0.021
2022-12-282023-01-09$0.021-8.7%
2022-11-282022-12-07$0.023-26.98%
2022-10-272022-11-07$0.0315
2022-09-282022-10-07$0.0315-21.25%
2022-08-292022-09-08$0.04
2022-07-272022-08-08$0.04
2022-06-282022-07-08$0.04-46.67%
2022-05-272022-06-07$0.075
2022-04-272022-05-06$0.075
2022-03-292022-04-07$0.075-4.46%
2022-02-242022-03-07$0.0785
2022-01-272022-02-07$0.0785-21.5%
2021-12-292022-01-10$0.10

Adjusted for splits

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Total return
Total return includes dividends. “Divs Reinvested” buys additional shares at the ex-dividend date close. “Cash” holds dividends without interest. Taxes and fees excluded.
Change:
Total return:
Dividends:

Total return either reinvests dividends at the ex-dividend date close or holds them as cash without interest. Taxes and fees are excluded.

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