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Non-Leveraged ETFs

Direxion TSLA Defined Income Boost ETF

The Direxion TSLA Defined Income Boost ETF seeks daily investment results, before fees and expenses, of the performance of the Cboe TSLA Defined Income Index (TSLADI). The fund targets a 20% annual distribution yield.

TSIB

NAV (Net Asset Value)$27.92As of Aug 13, 2026
1 Day NAV change$+1.02(+3.78%)As of Aug 13, 2026
Daily NAV$27.92
Daily Market Price$27.91
Expense Ratio
(gross/net %)
0.99 / 0.97*
Daily Volume
Security Identifier25461H341
Inception DateJul 29, 2026

Operational Updates

  • 07/29/2026
    Direxion launches Direxion TSLA Defined Income Boost ETF (TSIB)
    Read the Press Release

Documents & Downloads

  • TSIB Fact Sheet (pdf)
  • Non-Leveraged ETF List (pdf)
  • Direxion ETFs List (pdf)
  • TSIB Prospectus
  • Daily Fund Holdings (csv)

Why TSIB?

  • Capitalize on TSLA’s volatility – TSIB uses this high volatility profile to generate income.
  • Consistent Income – Designed to distribute income twice a month without giving up all of the stock’s potential performance. The fund targets a 20% annual distribution yield.
  • Easy Access to a Sophisticated Strategy – TSIB delivers a risk-managed options strategy in an ETF through a transparent, rules-based Cboe index.

Scheduled Distribution Calendar

Every fund in the Defined Income Boost suite follows one shared schedule. Declaration, ex, record, and pay dates are the same across all six tickers.

Declaration Execution Record Pay Date
8/13/2026 8/14/2026 8/14/2026 8/17/2026
8/27/2026 8/28/2026 8/28/2026 8/31/2026
9/14/2026 9/15/2026 9/15/2026 9/16/2026
9/29/2026 9/30/2026 9/30/2026 10/1/2026
10/14/2026 10/15/2026 10/15/2026 10/16/2026
10/29/2026 10/30/2026 10/30/2026 11/2/2026
11/12/2026 11/13/2026 11/13/2026 11/16/2026
11/27/2026 11/30/2026 11/30/2026 12/1/2026
12/14/2026 12/15/2026 12/15/2026 12/16/2026
12/30/2026 12/31/2026 12/31/2026 1/4/2027

Pricing & Performance

NAV and Market Price information as of 08/13/2026.

TSIB Direxion TSLA Defined Income Boost ETF
Net Asset Value (NAV)
$27.92Nav
$+1.02Change
+3.78%Change
Market Price Closing
$27.91Market
$+1.00Change
+3.72%Change
Premium / Discount
$-0.01Change from Last Day Trading
Premium/Discount tool
1M3MYTD1Y3Y5Y10YSince
Inception
(07/29/2026)
Expense Ratio*
(Gross / Net%)
TSIB NAV
1.25
0.99 / 0.97*
TSIB Market Close
1.64
0.99 / 0.97*

As of July 31, 2026

* The Net Expense Ratio includes management fees, other operating expenses and Acquired Fund Fees and Expenses. If Acquired Fund Fees and Expenses were excluded, the Net Expense Ratio would be 0.95%. The Fund’s adviser, Rafferty Asset Management, LLC (“Rafferty”), has entered into an Operating Expense Limitation Agreement with the Fund. Under the Operating Expense Limitation Agreement, Rafferty has contractually agreed to waive all or a portion of its management fee and/or reimburse a Fund for Other Expenses through September 1, 2027, to the extent that a Fund’s Total Annual Fund Operating Expenses exceed 0.95% of the Fund’s average daily net assets (excluding, as applicable, among other expenses, taxes, swap financing and related costs, acquired fund fees and expenses, dividends or interest on short positions, other interest expenses, brokerage commissions and extraordinary expenses). If these expenses were included, the expense ratio would be higher.

The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate. An investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance quoted. Returns for performance under one year are cumulative, not annualized. For the most recent month-end performance please visit the funds’ website at direxion.com. Short-term performance, in particular, is not a good indication of a fund’s future performance, and an investment should not be made based solely on returns. Because of ongoing market volatility, fund performance may be subject to substantial short-term changes. For additional information, see the fund’s prospectus.

Index Information

The Cboe TSLA Defined Income Index is designed to track the performance of an investment strategy that systematically attempts to collect a target amount of income from option premiums by writing (selling) weekly, out-of-the-money equity call options on an underlying security (i.e., common shares of Tesla, Inc. (NASDAQ: TSLA) (“TSLA”)) based on the Index’s target distribution amount, with daily delta hedging conducted through long positions in the underlying security. The Index’s target distribution amount is set by Cboe Global Indices, LLC and is currently set at an annualized yield of 20%. One cannot directly invest in an index.

Single Stock Exposure

Tesla, Inc. designs, manufactures and sells electric vehicles and electric vehicle powertrain components. TSLA is registered under the Securities Exchange Act of 1934, as amended (the “Exchange Act”). Information provided to or filed with the Securities and Exchange Commission by Tesla, Inc. pursuant to the Exchange Act can be located by reference to the Securities and Exchange Commission file number 001-34756 through the Securities and Exchange Commission’s website at www.sec.gov. In addition, information regarding Tesla, Inc. may be obtained from other sources including, but not limited to, press releases, newspaper articles and other publicly disseminated documents.

Distributions

Record DateEx DatePay DateIncome DividendShort-Term Capital GainLong-Term Capital Gain
0.00000
Record Date
Ex Date
Pay Date
Income Dividend0.00000
Short-Term Capital Gain
Long-Term Capital Gain

Documents

Operational Updates

Documents & Downloads

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