QNR = Quarterly NAV ONLY Return (90-day NAV move, distributions excluded).MaxFactor ranks every fund using 4 factors: Yield, NAV Return, Volatility, and True Yield Profit.Yield Safety measures whether the yield is supported by underlying performance and risk.
422
Total Funds
73
CEFs
40
Crypto / BTC
49
Big Tech
26
Foreign
15
Coming Soon (<90d)
Universe Median
13.42%
Yield
-0.17%
QNR
64%
StableDex
Benchmarks (1D)
+0.43%
SPY
+0.31%
QQQ
-0.30%
IWM
+1.17%
IBIT
Median across 422 funds · Friday, July 10, 2026 · SMH omitted, verifying prior close