ONEZ

TrueShares Seasonality Laddered Buffered ETF

Why Invest in ONEZ

TRUEOUTCOME
The TrueShares Seasonality Laddered Buffered ETF (ONEZ) aims to achieve capital appreciation with the potential for reduced volatility compared to the U.S. large-cap equity market. It uses a fund-of-funds approach, investing in ETFs linked to the S&P 500 Index through two primary strategies:
  1. TrueShares Structured Outcome Uncapped Buffered ETFs: These seek upside exposure while partially mitigating losses (8%-12%) during a 12-month period through options strategies.
  2. TrueShares Quarterly Bull and Bear Hedge ETFs: These employ general hedging strategies, using options and fixed-income assets to protect against broader market declines, while also potentially benefiting from an increase or drawdown in U.S. large-capitalization equities.
The TrueShares Seasonality Laddered Buffered ETF (ONEZ) aims for a unique laddered approach to managing market volatility while seeking growth opportunities.

Why Invest in ONEZ

TRUEOUTCOME
The TrueShares Seasonality Laddered Buffered ETF (ONEZ) aims to achieve capital appreciation with the potential for reduced volatility compared to the U.S. large-cap equity market. It uses a fund-of-funds approach, investing in ETFs linked to the S&P 500 Index through two primary strategies:
  1. TrueShares Structured Outcome Uncapped Buffered ETFs: These seek upside exposure while partially mitigating losses (8%-12%) during a 12-month period through options strategies.
  2. TrueShares Quarterly Bull and Bear Hedge ETFs: These employ general hedging strategies, using options and fixed-income assets to protect against broader market declines, while also potentially benefiting from an increase or drawdown in U.S. large-capitalization equities.
The TrueShares Seasonality Laddered Buffered ETF (ONEZ) aims for a unique laddered approach to managing market volatility while seeking growth opportunities.
FUND SUMMARY

About the ONEZ ETF

Fund Details

Data as of 10/31/2025

Inception Date

January 24, 2025

CUSIP

210322608

Primary Exchange

Cboe BZX

Ticker

ONEZ

Fund Listing

01/27/2025

IOPV Symbol

N/A

NAV Symbol

ONEZ.NV

Expense Ratio

0.98%

30 Day SEC Yield

2.29

Fund Data & Pricing

Data as of 11/17/2025
Net Assets as of 11/17/2025
$124.94M

NAV

$26.47

Shares Outstanding

4,720,000

Premium/Discount Percentage

0.06%

Closing Price

$26.49

30 Day Median Bid/Ask Spread

0.55%

IOPV, or Indicative Optimized Portfolio Value, is a calculation disseminated by the stock exchange that approximates the Fund’s NAV every fifteen seconds throughout the trading day.

FUND SUMMARY

About the ONEZ ETF

Fund Details

Data as of 10/31/2025

Inception Date

January 24, 2025

Fund Listing

01/27/2025

Primary Exchange

Cboe BZX

Ticker

ONEZ

CUSIP

210322608

IOPV Symbol

N/A

NAV Symbol

ONEZ.NV

Expense Ratio

0.98%

30 Day SEC Yield

2.29

Fund Materials

Fund Materials

Fund Data & Pricing

Data as of 11/17/2025
Net Assets as of 11/17/2025
$124.94M

NAV

$26.47

Shares Outstanding

4,720,000

Premium/Discount Percentage

0.06%

Closing Price

$26.49

30 Day Median Bid/Ask Spread

0.55%

IOPV, or Indicative Optimized Portfolio Value, is a calculation disseminated by the stock exchange that approximates the Fund’s NAV every fifteen seconds throughout the trading day.

Historical NAV Change

Data as of 11/17/2025

Use the slider below to adjust the time period shown in the graph below.

Fund Materials

Fund Data & Pricing

Data as of 11/17/2025
Net Assets as of 11/17/2025
$124.94M

NAV

$26.47

Shares Outstanding

4,720,000

Premium/Discount Percentage

0.06%

Closing Price

$26.49

30 Day Median Bid/Ask Spread

0.55%

IOPV, or Indicative Optimized Portfolio Value, is a calculation disseminated by the stock exchange that approximates the Fund’s NAV every fifteen seconds throughout the trading day.

Outcome Period Values

Data as of 01/01/1970

ETF Starting NAV/Period Return

SPX Index Reference Price

Downside Buffer

Expected Upside Participation

Days Remaining

ETF Starting NAV/Period Return

SPX Index Reference Price

Downside Buffer

Expected Upside Participation

Days Remaining

/0.0%

ETF Starting NAV/Period Return SPX Index Reference Price Downside Buffer Expected Upside Participation Days Remaining
29.24 4796 10 70-72% 362

Outcome Period Values

Data as of 01/01/1970

ETF Starting NAV/Period Return

/0.0%

SP Index Reference Price

Downside Buffer

Expected Upside Participation

Days Remaining

Current Outcome Period Values

Data as of 11/17/2025

ETF Current NAV/Period Return

26.47/

SPX Period Return

Remaining Buffer

Downside Before Buffer

Remaining Outcome Period

44

Current Outcome Period Values

Data as of 11/17/2025
ETF Current NAV/Period Return SPX Period Return Remaining Buffer Downside Before Buffer Remaining Outcome Period
29.24 4796 10 70-72% 362

ETF Current NAV/Period Return

SPX Period Return

Remaining Buffer

Downside Before Buffer

Remaining Outcome Period

$26.47
44 days

Performance

Data as of 10/31/2025

3 Month

6 Month

1 Year

5 Year

Since Inception

Market Price

5.44
14.64
7.83

Fund NAV

5.46
14.64
7.83
S&P 500 Total Return Index
8.23
23.6
13.21

3 Month

6 Month

1 Year

5 Year

Since Inception

Market Price

5.44
14.64
7.83

Fund NAV

5.46
14.64
7.83
S&P 500 Total Return Index
8.23
23.6
13.21
3 Month 6 Month 1 Year 5 Year Since Inception
Market Price 5.44 14.64 7.83
Fund NAV 5.46 14.64 7.83
S&P 500 Total Return Index 8.23 23.6 13.21

Expense ratio: 0.98%

Performance data quoted on this website represents past performance and does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed or sold in the secondary market, may be worth more or less than the original cost. Investors will incur usual and customary brokerage commissions when buying or selling shares of the exchange-traded funds in the secondary market, and that, if reflected, the brokerage commissions would reduce the performance returns. Current performance may be lower or higher than the performance shown. Shares are bought and sold at market price not net asset value and are not individually redeemable from the fund. Call 877-774-TRUE (8783) for performance data current to the most recent month end. Click here to view or download the factsheet for quarter-end standardized performance.

All performance figures assume reinvestment of dividend and capital gains at net asset value; actual returns may differ. Performance 1-year and less are cumulative; performance over 1-year are average annualized total returns. Market price performance is determined using the bid/ask midpoint at 4:00pm Eastern time, when the NAV is typically calculated. NAV price performance is determined using the daily calculated NAV. They do not represent the returns you would receive if you traded shares at other times. Performance figures do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or upon redemption or sale of fund shares. The fund inception date is generally several days prior to when the fund begins trading. NAV prices are used to calculate market price performance prior to 01/24/2025, when the fund first traded on an exchange. Click here to view or download a full prospectus. Click here to view or download a summary prospectus.


Index performance does not represent TrueShares fund performance. The S&P 500 is a stock market index tracking the stock performance of 500 of the largest companies listed on stock exchanges in the United States. The ETF is benchmark agnostic and corresponding portfolios may have significant non-correlation to any index. Index returns are generally provided as an overall market indicator. You cannot invest directly in an index. Although reinvestment of dividend and interest payments is assumed, no expenses are netted against an index’s returns. Index performance information was furnished by sources deemed reliable and is believed to be accurate, however, no warranty or representation is made as to the accuracy thereof and the information is subject to correction.

To view our proxy voting records, click here.

Performance

Data as of 10/31/2025

3 Month

6 Month

1 Year

5 Year

Since Inception

3 Month

6 Month

1 Year

5 Year

Since Inception

Market Price

5.44
14.64
7.83

Fund NAV

5.46
14.64
7.83
S&P 500 Total Return Index
8.23
23.6
13.21
3 Month 6 Month 1 Year 5 Year Since Inception
Market Price 5.44 14.64 7.83
Fund NAV 5.46 14.64 7.83
S&P 500 Total Return Index 8.23 23.6 13.21

Expense ratio: 0.98%

Performance data quoted on this website represents past performance and does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed or sold in the secondary market, may be worth more or less than the original cost. Investors will incur usual and customary brokerage commissions when buying or selling shares of the exchange-traded funds in the secondary market, and that, if reflected, the brokerage commissions would reduce the performance returns. Current performance may be lower or higher than the performance shown. Shares are bought and sold at market price not net asset value and are not individually redeemable from the fund. Call 877-774-TRUE (8783) for performance data current to the most recent month end. Click here to view or download the factsheet for quarter-end standardized performance.

All performance figures assume reinvestment of dividend and capital gains at net asset value; actual returns may differ. Performance 1-year and less are cumulative; performance over 1-year are average annualized total returns. Market price performance is determined using the bid/ask midpoint at 4:00pm Eastern time, when the NAV is typically calculated. NAV price performance is determined using the daily calculated NAV. They do not represent the returns you would receive if you traded shares at other times. Performance figures do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or upon redemption or sale of fund shares. The fund inception date is generally several days prior to when the fund begins trading. NAV prices are used to calculate market price performance prior to 01/24/2025, when the fund first traded on an exchange. Click here to view or download a full prospectus. Click here to view or download a summary prospectus.


Index performance does not represent TrueShares fund performance. The S&P 500 is a stock market index tracking the stock performance of 500 of the largest companies listed on stock exchanges in the United States. The ETF is benchmark agnostic and corresponding portfolios may have significant non-correlation to any index. Index returns are generally provided as an overall market indicator. You cannot invest directly in an index. Although reinvestment of dividend and interest payments is assumed, no expenses are netted against an index’s returns. Index performance information was furnished by sources deemed reliable and is believed to be accurate, however, no warranty or representation is made as to the accuracy thereof and the information is subject to correction.

To view our proxy voting records, click here.

Distribution Detail

Ex-Date Record Date Payable Date Amount Rate Type

Top 10 Holdings

Data as of 11/17/2025

No Records

Top 10 Holdings

Data as of 11/17/2025
% of Net Assets Name Ticker CUSIP Shares Held Market Value

No Records

Keep up with the latest ONEZ news

    Keep up with the latest ONEZ ETF news

    Keep up with the latest ONEZ news

      Premium/Discount

      Days traded at

      Previous Year (2024)

      Q1 Current Year

      Q2 Current Year

      Q3 Current Year

      Q4 Current Year

      Premium

      23
      43
      50
      21

      Discount

      13
      23
      27
      13

      Net Asset Value

      16
      31
      15
      13
      Data as of 11/18/2025
      The following table and line graph are provided to show the frequency at which the closing price of the Fund was at a premium (above) or discount (below) to the Fund’s daily net asset value (“NAV”). The table and line graph represent past performance and cannot be used to predict future results. Shareholders may pay more than NAV when buying Fund shares and receive less than NAV when those shares are sold because shares are bought and sold at current.