About this ETF
Tidal Trust III - VistaShares BitBonds 5 Yr Enhanced Weekly Distribution ETF is an exchange traded fund launched and managed by Tidal Investments LLC. The fund is co-managed by Vistashares Advisors LLC. The fund invests in fixed income and currency markets of the United States. For its fixed income portion, the fund invests directly, through derivatives and through other funds in U.S. Treasury securities with remaining maturity of greater than or equal to three years and less than seven years. The fund uses derivatives such as options and futures to create its portfolio. For its currency portion, the fund invests through derivatives and through other funds in bitcoin. Tidal Trust III - VistaShares BitBonds 5 Yr Enhanced Weekly Distribution ETF is domiciled in the United States.
Description from the fund data provider · profile as of Aug 26, 2026.
Price Chart
Daily closing prices (price return, not total return). Comparison lines are normalized to percent change from the range start. Source: Financial Modeling Prep.
Performance
| 1M | 3M | 6M | YTD | 1Y | 3Y* | 5Y* | 10Y* | Incep.* | |
|---|---|---|---|---|---|---|---|---|---|
| Price return | +0.69% | -3.66% | — | — | — | — | — | — | -5.86% |
| Total return | +0.99% | -2.09% | — | — | — | — | — | — | -2.98% |
* Annualized. Total return uses the dividend-adjusted price series (distributions reinvested); price return uses unadjusted closes. Performance through Jul 07, 2026. Past performance does not guarantee future results.
Fees
| Net expense ratio | 0.49% | Annual cost of a $10,000 investment | $49.00 |
Illustrative calculation only: expense ratio × $10,000. It excludes trading costs, bid/ask spreads, taxes and changes in investment value. Gross vs. net expense details and any fee waivers are in the prospectus.
Holdings
Holdings as of Jun 29, 2026 — portfolio reporting date from the data provider; holdings are not live positions. 8 rows in database.
| # | Holding | Ticker | Weight | Shares | Market Value |
|---|---|---|---|---|---|
| 1 | United States Treasury Note/Bond 4.125%… | — | 83.65% | 2.15M | $2.2M |
| 2 | IBIT US 07/17/26 C5 | — | 15.64% | 140 | $402.9K |
| 3 | Cash & Other | — | 0.57% | 14.65K | $14.6K |
| 4 | First American Government Obligations Fund… | — | 0.26% | 6.70K | $6.7K |
| 5 | IBIT US 07/17/26 C41 | — | 0.02% | 105 | $630.00 |
| 6 | IBIT US 07/17/26 C39 | — | 0.02% | 35 | $437.50 |
| 7 | IBIT US 07/17/26 C36 | — | -0.08% | -35 | -$1.9K |
| 8 | IBIT US 07/17/26 C38 | — | -0.08% | -105 | -$2.1K |
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Geographic Exposure
Country weights as reported by the data provider. Developed/emerging/frontier labels follow the classification on the Methodology page. Currency hedged: No hedging indicated in the fund name.
Distributions
| Yield (TTM) | 3.04% | Paid (last 12 months) | $0.7135 |
| Frequency | Weekly | SEC yield | Not provided by our data source — see the issuer page |
| Last ex-date | Jun 15, 2026 | Last payment | $0.0363 (Jun 16, 2026) |
| Growth 1Y | — | Growth 3Y / 5Y (ann.) | — / — |
| Ex-date | Record | Pay date | Amount |
|---|---|---|---|
| Jun 15, 2026 | Jun 15, 2026 | Jun 16, 2026 | $0.0363 |
| Jun 08, 2026 | Jun 08, 2026 | Jun 09, 2026 | $0.0363 |
| Jun 01, 2026 | Jun 01, 2026 | Jun 02, 2026 | $0.0373 |
| May 26, 2026 | May 26, 2026 | May 27, 2026 | $0.0376 |
| May 18, 2026 | May 18, 2026 | May 19, 2026 | $0.0381 |
| May 11, 2026 | May 11, 2026 | May 12, 2026 | $0.0381 |
| May 04, 2026 | May 04, 2026 | May 05, 2026 | $0.0378 |
| Apr 27, 2026 | Apr 27, 2026 | Apr 28, 2026 | $0.0380 |
| Apr 20, 2026 | Apr 20, 2026 | Apr 21, 2026 | $0.0380 |
| Apr 13, 2026 | Apr 13, 2026 | Apr 14, 2026 | $0.0378 |
| Apr 07, 2026 | Apr 07, 2026 | Apr 08, 2026 | $0.0372 |
| Mar 30, 2026 | Mar 30, 2026 | Mar 31, 2026 | $0.0373 |
Trailing distribution yield = last 12 months of cash ÷ current price. It is NOT the SEC 30-day yield and distributions are not guaranteed to continue. The difference explained →
Risk Statistics
Liquidity
| Volume today | 3.25K | Average volume | 3.07K |
| AUM | $2.0M | Premium/Discount | -4.11% |
| Bid/Ask spread | Not provided by our data source. Check your broker's quote screen; spreads are widest at the open and close. | ||
Premium/discount compares the delayed market price with the last reported NAV — an indicative figure, not the official closing premium/discount. How ETF liquidity works →
Fund Flows (estimated)
| Period | Est. net flow | % of starting AUM | AUM start → end |
|---|---|---|---|
| 1 Day | $0.00 | 0.00% | $2.0M → $2.0M |
| 1 Week | $0.00 | 0.00% | $2.0M → $2.0M |
ETF Explorer estimate: change in reported AUM minus the market-move effect, from our own daily snapshots. Not official issuer creation/redemption data.
Official Fund Resources
External links open the issuer's site or SEC EDGAR in a new tab. The prospectus and official documents are always the authoritative source — review them before investing.
Latest News for BTYB
No articles mention this fund directly in the last 7 days — showing general ETF coverage.
Guided help: AUM is fund size. The expense ratio is the yearly cost baked into returns. NAV is the value of what the fund owns per share; the market price can sit slightly above (premium) or below (discount) it. Total return assumes distributions were reinvested. Every dataset shows its own as-of date because holdings, assets and quotes update on different schedules.
BTYB