REX Shares logo

REX Shares ETFs

Total ETFs: 15
Total AUM: 1.34B

ETF Portfolio (15)

Complete list of ETFs managed by REX Shares. Switch tabs to view different metrics. Click column headers to sort.

#
1
FEPI logo
FEPI
REX FANG & Innovation Equity Premium Income ETF$41.53$618.43M0.65%72Oct 8, 2023345.32K
2
AIPI logo
AIPI
REX AI Equity Premium Income ETF$36.59$411.40M0.65%116Jun 3, 2024301.05K
3
CEPI logo
CEPI
REX Crypto Equity Premium Income ETF$31.63$88.18M0.85%109Dec 3, 2024120.50K
4
NVII logo
NVII
REX NVDA Growth & Income ETF$26.50$75.85M0.99%8May 27, 2025157.19K
5
DRNZ logo
DRNZ
REX Drone ETF$24.07$54.76M0.65%44Oct 28, 202593.00K
6
TSII logo
TSII
REX TSLA Growth & Income ETF$22.02$45.77M0.99%8Jun 3, 2025147.58K
7
ULTI logo
ULTI
REX IncomeMax Option Strategy ETF$12.32$17.70M1.25%99Oct 30, 2025107.29K
8
BMAX logo
BMAX
REX Bitcoin Corporate Treasury Convertible Bond ETF$23.47$13.62M1.14%16Mar 13, 20253.68K
9
MSII logo
MSII
REX MSTR Growth & Income ETF$6.25$3.54M0.99%8Jun 3, 202523.02K
10
COII logo
COII
REX COIN Growth & Income ETF$9.24$3.13M0.99%8Jun 3, 202518.39K
11
WMTI logo
WMTI
REX WMT Growth & Income ETF$28.95$2.29M0.99%8Nov 3, 20255.50K
12
LLII logo
LLII
REX LLY Growth & Income ETF 3Shs$25.67$2.12M0.99%10Nov 3, 20258.28K
13
PLTI logo
PLTI
REX PLTR Growth & Income ETF$14.53$1.14M0.99%8Nov 3, 20257.18K
14
HOII logo
HOII
REX HOOD Growth & Income ETF$11.04$958.51K0.99%8Nov 3, 20259.47K
15
CWII logo
CWII
REX CRWV Growth & Income ETF$14.40$743.26K0.99%8Nov 3, 202510.09K

About REX Shares

REX Shares is an ETF issuer managing 15 exchange-traded funds with a combined 1.34B in assets under management. Browse all ETFs from this issuer to compare their investment strategies, expense ratios, and holdings.

ETF Metrics Explained

AUM:
Assets Under Management - total fund size
Expense Ratio:
Annual management fee (lower is better)
Holdings:
Number of securities in the fund
Inception Date:
When the fund was launched

Selection Tips

Large Funds:
Higher AUM often means better liquidity
Low Costs:
Expense ratios under 0.50% are competitive
Diversification:
More holdings typically mean lower risk
Track Record:
Older funds have proven performance history