LIAE

Stone Ridge$204.36 ()
AUM $3.2MER 0.25%NAV $200.18Holdings 19

Price Chart

Key Statistics

Previous Close

$204.76

Day Range

N/A

52-Week Range

$199.19$226.11

Avg Volume

13

Dividend Yield

Expense Ratio

0.25%

AUM

$3.2M

Shares Outstanding

Country Allocation

CountryWeight %
United States97.77%
Other2.23%

Fund Information

Inception Date
Jan 17, 2024
Exchange
BATS
Description
LIAE invests in US Treasury securities, mainly TIPS, aiming for predictable cashflows through 2050. In 2030, investors can opt for Longevity-Linked Distributions via a closed-end fund with payments up to age 100 or Term Distributions continuing through 2050, or a mix. Both Fund and closed-end funds aim to liquidate by 2050, distributing all assets then ceasing distributions. Initially, monthly payouts are $0.0833 per share, adjusted for inflation, until 2030 when it recalibrates to approximately $0.0760 monthly until 2050. Inflation adjustments are based on the Consumer Price Index and distributions are made around the 3rd business day each month. A portion of each monthly distribution is considered return capital, reducing the amount for investment and lowering the investor's tax basis in their shares. Before February7, 2025, the fund utilized Stone Ridge for branding instead of LifeX. On Sept. 15, 2025 the Issuer consolidated the suite. Assets from two funds (2048 and 2049) were rolled into this fund, accounting for an increase in AUM of $3.2 million.

The Stone Ridge Trust - LifeX 2050 Inflation-Protected Longevity Income ETF (LIAE) is an exchange-traded fund issued by Stone Ridge that launched on Jan 17, 2024. It currently manages $3.2M in assets under management. The fund charges an expense ratio of 0.25%. The fund holds 19 securities in its portfolio.

Top 10 holdings represent 91.2% of the fund

RankSymbolNameWeight %SharesMarket Value
1United States Treasury Inflation Indexed Bonds 2.125% 02/15/204027.74%968,727$901K
2United States Treasury Inflation Indexed Bonds 0.875% 02/15/204725.61%1,238,134$832K
3United States Treasury Inflation Indexed Bonds 1.5% 02/15/20536.53%295,459$212K
4United States Treasury Inflation Indexed Bonds 2.125% 01/15/20356.51%216,922$211K
5United States Treasury Inflation Indexed Bonds 2.125% 04/15/20295.47%178,140$178K
6United States Treasury Inflation Indexed Bonds 1.125% 01/15/20334.78%167,039$155K
7United States Treasury Inflation Indexed Bonds 0.125% 01/15/20304.55%158,349$148K
8United States Treasury Inflation Indexed Bonds 0.125% 07/15/20314.21%150,759$137K
9United States Treasury Inflation Indexed Bonds 2.375% 10/15/20283.89%125,379$126K
10United States Treasury Inflation Indexed Bonds 0.5% 01/15/20281.92%63,629$62K
11United States Treasury Inflation Indexed Bonds 0.125% 01/15/20321.82%66,257$59K
12United States Treasury Inflation Indexed Bonds 0.125% 01/15/20311.81%64,141$59K
13United States Treasury Inflation Indexed Bonds 0.375% 01/15/20271.06%34,561$34K
14MSILF Government Portfolio 12/31/20311.02%33,266$33K
15First American Government Obligations Fund 12/01/20311.02%33,266$33K

Detailed Returns

PeriodReturnETF
1D
1W
-1.45%
1M
-1.86%
3M
-4.49%
6M
-5.21%
YTD
-5.72%
1Y
-11.70%
3Y
-16.47%
5Y
-16.47%

Moving Averages

20-Day MA

$202.50

Above 20-Day MA
50-Day MA

$203.37

Above 50-Day MA
200-Day MA

$208.72

Below 200-Day MA

Price with Moving Averages

Support & Resistance

52-Week High

$226.11

Current Price

$204.36

52-Week Low

$199.19

$199.19$226.11

Current Yield

Annual Dividend

$3.5276

Frequency

Monthlyx/year

Last Ex-Date

Jun 2, 2026

Dividend History

Ex-DateAmountPay Date
Jun 2, 2026$0.8819Jun 3, 2026
May 4, 2026$0.8819May 5, 2026
Apr 2, 2026$0.8819Apr 6, 2026
Mar 3, 2026$0.8819Mar 4, 2026
Mar 3, 2026$0.8819Mar 4, 2026
Feb 3, 2026$0.8819Feb 4, 2026
Feb 3, 2026$0.8819Feb 4, 2026
Jan 5, 2026$0.8819Jan 6, 2026
Jan 5, 2026$0.8819Jan 6, 2026
Dec 2, 2025$0.8550Dec 3, 2025
Dec 2, 2025$0.8550Dec 3, 2025
Nov 4, 2025$0.8550Nov 5, 2025
Nov 4, 2025$0.8550Nov 5, 2025
Oct 2, 2025$0.8550Oct 3, 2025
Oct 2, 2025$0.8550Oct 3, 2025
Sep 24, 2025$9.0600Sep 25, 2025
Sep 3, 2025$0.8550Sep 4, 2025
Sep 3, 2025$0.8550Sep 4, 2025
Aug 4, 2025$0.8550Aug 5, 2025
Aug 4, 2025$0.8550Aug 5, 2025

Dividend Payments Over Time

Category Comparison

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