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Smart Investors Daily
LB

NYSE · LBAY

Leatherback Long/Short Alternative Yield ETF

Financial Services · Asset Management - Leveraged

$27.91

Down-$0.37 (-1.34%)

Updated Aug 31, 2026, 9:43 PM

SID Score

4.7/10

Composite research score

Smart Money

Institutional and insider signal

Market cap
24.85M
P/E ratio
Dividend yield
3.27%
52-week range
$24.36 – $28.41
Volume
1.22K
Avg. volume
3.47K

Price performance

LBAY price history

1M range · 20 trading sessions · Daily adjusted prices

LBAY closed at $27.91 after 20 trading sessions, up 7.05% for the selected period.

Last close
$27.91
Period change
+7.05%
Period low
$26.03
Period high
$28.41
Daily close
View OHLC price history
LBAY OHLC price history, latest 40 sessions
DateOpenHighLowCloseVolume
Aug 28, 2026$27.87$27.908$27.86$27.9081.22K
Aug 27, 2026$28.0001$28.06$28.0001$28.01424.88K
Aug 26, 2026$28.39$28.39$28.3157$28.3157130.66
Aug 25, 2026$28.35$28.4052$28.35$28.4052389.39
Aug 24, 2026$28.33$28.4045$28.3038$28.40451.21K
Aug 21, 2026$28.11$28.11$28.0184$28.01842.65K
Aug 20, 2026$27.99$27.99$27.8361$27.8361814.25
Aug 19, 2026$27.50$27.6993$27.50$27.69931.28K
Aug 18, 2026$26.80$26.8999$26.80$26.81082.94K
Aug 17, 2026$26.355$26.3812$26.355$26.38122.9K
Aug 14, 2026$26.59$26.60$26.5659$26.5659722.33
Aug 13, 2026$26.47$26.47$26.47$26.4710.03K
Aug 12, 2026$26.45$26.46$26.40$26.46444.85
Aug 11, 2026$26.56$26.6003$26.56$26.6003372.13
Aug 10, 2026$26.22$26.5616$26.22$26.5616372.27
Aug 7, 2026$26.495$26.495$26.4752$26.4752289.44
Aug 6, 2026$26.60$26.60$26.31$26.40786.54K
Aug 5, 2026$26.17$26.26$26.17$26.261.72K
Aug 4, 2026$25.895$26.025$25.895$26.025390.26
Aug 3, 2026$26.39$26.39$25.99$26.072.17K

Latest LBAY news

The latest Smart Investors Daily articles mentioning LBAY.

LBAY research

Overview

Company profile and research snapshot.

Company profile

The fund is an actively-managed ETF that seeks to achieve its investment objective by purchasing long positions in securities believed to provide sustainable shareholder yield (defined as dividends plus buybacks plus debt paydowns) and taking short positions in securities expected to decline in price. It will generally have net exposure of 75% - 110% long. The fund's long positions are generally expected to be comprised of equity securities or depositary receipts, although long positions may also include investment-grade corporate bonds and convertible bonds. It is non-diversified.

Analyst outlook

Consensus and target data currently published for this company.

Consensus
Average target
Implied upside
Analysts
Open full forecast

News briefing

No generated briefing is available yet.

AI research layers

Interpretive context generated from the platform’s current data sources.

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AI research layers have not been published yet.