Harvest Palantir Enhanced High Income Shares ETF

Overview     |     Performance/Distribution     |     Portfolio Breakdown     |     Fund Documents

Overview

The Harvest Palantir Enhanced High Income Shares ETF invests all its assets in shares of Palantir. Palantir specializes in software platforms for big data analytics, with customers that include the US Intelligence Community and US Department of Defense. Palantir’s growing role in AI and expanding reach beyond government contracts has fuelled the stock’s meteoric rise.

Fund Focus

The Harvest Palantir Enhanced High Income Shares ETF provides access to the growth potential of Palantir and overlays an active covered call writing strategy on up to 50% of the portfolio. It applies modest leverage at around 25% for higher income and growth potential.

Advantages

  • US Stock + High Monthly Income
  • Canadian Trust Unit
  • Tax Efficient
  • Lower Purchase Price
  • Applies modest leverage for higher monthly income in CAD

PLTR Historical Price

Palantir Technologies Inc. (NASDAQ:PLTR) provides software solutions and platforms that integrate, manage, and secure data helping in interactive human-driven machine-assisted analysis.

Source: Bloomberg

Fund Details As at 2025/01/17
Ticker PLTE
Reference Asset PLTR
Distribution (per unit)* $0.37 / MTH
NAV $13.45
MKT (Close) $13.50
AUM** $1.68M
Currency CAD-Unhedged
Management Fee 0.40%
More Details
CUSIP 41756T106
Inception 2025/01/16
Eligible RRSP / TFSA / RRIF / RESP / FHSA
Distribution Frequency Monthly
Distribution Method Cash/DRIP
Risk Rating High

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Performance / Distributions

Performance for Harvest High Income Shares cannot be displayed until 1 year after inception 2025/01/16.

Distribution will be shown as of 2026/02/28.

Portfolio Breakdown

The ETF seeks to provide unitholders with long-term capital appreciation through purchasing and holding common stock of PLTR and generate high monthly cash distributions through an active covered call writing strategy.

HOLDING As at January 16, 2025
Palantir Technologies Inc.
Market value of options
Cash and other assets and liabilities
Disclaimer

Commissions, management fees and expenses all may be associated with investing in Harvest High Income Shares ETFs managed by Harvest Portfolios Group Inc. (the “Funds” or a “Fund”). Please read the relevant prospectus before investing. The Funds’ returns are not guaranteed, their values change frequently, and past performance may not be repeated. Tax investment and all other decisions should be made with guidance from a qualified professional.

* Announced per distribution for unitholders on record as February 28, 2025, payable on March 7, 2025. Distributions are paid to you in cash unless you request, pursuant to your participation in a distribution reinvestment plan, that they be reinvested into available class Units of the Fund. If a Fund earns less than the amounts distributed, the difference is a return of capital.

Certain statements included in this communication constitute forward-looking statements (“FLS”, including, but not limited to, those identified by the expressions "expect", "intend", "will" and similar expressions to the extent they relate to the Funds. The FLS are not historical facts but reflect the Harvest’s and the portfolio manager of the Funds current expectations regarding future results or events. These FLS are subject to a number of risks and uncertainties that could cause actual results or events to differ materially from current expectations. Although Harvest and the portfolio manager of the Funds believe that the assumptions inherent in the FLS are reasonable, FLS are not guarantees of future performance and, accordingly, readers are cautioned not to place undue reliance on such statements due to the inherent uncertainty therein. The Funds, Harvest and the portfolio manager of the Funds undertake no obligation to update publicly or otherwise revise any FLS or information whether as a result of new information, future events or other such factors which affect this information, except as required by law.

** Represents aggregate AUM of all classes denominated in Canadian dollars.