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NYSEARCA:LJAN

Innovator Premium Income 15 Buffer ETF - January (LJAN) Price, Holdings, & News

$23.93 +0.04 (+0.17%)
As of 04/17/2025 04:10 PM Eastern

About Innovator Premium Income 15 Buffer ETF - January (NYSEARCA:LJAN)

Key Stats

Today's Range
$23.93
$23.99
50-Day Range
$23.32
$24.70
52-Week Range
$23.25
$25.04
Volume
270 shs
Average Volume
5,827 shs
Market Capitalization
$11.97 million
Assets Under Management
$1.22 million
Dividend Yield
5.60%
Net Expense Ratio
0.00%
Aggregate Rating
N/A

ETF Overview

The Innovator Premium Income 15 Buffer ETF - January (LJAN) is an exchange-traded fund that mostly invests in large cap equity. The fund seeks to provide a consistent income stream and a limited protective buffer against the first 15% of losses stemming from the decline in the S&P 500 Index. The exposure resets each year in January LJAN was launched on Dec 31, 2023 and is issued by Innovator.

Innovator Premium Income 15 Buffer ETF - January Expenses

TypeLJANNYSEARCA ETFsAll ETFs
Management Fee0.00%0.52%0.53%
Other Expenses0.00%0.56%0.52%
Total Expense0.00%0.73%0.71%
Fee Waiver0.00%-0.66%-0.55%
Net Expense0.00%0.58%0.60%
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LJAN ETF News Headlines

No headlines for this company have been tracked by MarketBeat.com

LJAN ETF - Frequently Asked Questions

Innovator Premium Income 15 Buffer ETF - January's stock was trading at $24.55 at the start of the year. Since then, LJAN stock has decreased by 2.5% and is now trading at $23.93.
View the best growth stocks for 2025 here
.

Innovator Premium Income 15 Buffer ETF - January's top institutional shareholders include KFG Wealth Management LLC (5.70%).

Shares of LJAN stock can be purchased through any online brokerage account. Popular online brokerages with access to the U.S. stock market include Charles Schwab, E*TRADE, Fidelity, and Vanguard Brokerage Services.

Fund Details

Issuer
Fund Name
Innovator Premium Income 15 Buffer ETF - January
Tax Classification
Stock Exchange
NYSEARCA
Current Symbol
NYSEARCA:LJAN
Inception Date
1/1/2100
Fund Manager
N/A
Web
N/A
Phone
N/A

Fund Focus

Asset Class
Benchmark
N/A
Category
Focus
Development Level
Region
Number of Holdings
13

Fund Statistics

Assets Under Management
$1.22 million
Average Daily Volume
$0.00
Discount/Premium
0.02%

Administrator, Advisor and Custodian

Administrator
N/A
Advisor
N/A
Custodian
N/A
Distributor
N/A
Transfer Agent
N/A
Trustee
N/A
Lead Market Maker
N/A

Miscellaneous

Beta
0.10
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Top 10 LJAN Holdings

  • United States Treasury Bills
    Holding Weight: 96.66%
  • Deposits With Broker For Short Positions
    Holding Weight: 6.58%
  • United States Treasury Bills
    Holding Weight: 0.42%
  • United States Treasury Bills
    Holding Weight: 0.41%
  • United States Treasury Bills
    Holding Weight: 0.41%
  • United States Treasury Bills
    Holding Weight: 0.41%
  • United States Treasury Bills
    Holding Weight: 0.41%
  • United States Treasury Bills
    Holding Weight: 0.41%
  • United States Treasury Bills
    Holding Weight: 0.41%
  • United States Treasury Bills
    Holding Weight: 0.41%

This page (NYSEARCA:LJAN) was last updated on 4/19/2025 by MarketBeat.com Staff
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