Alt5 Sigma Corp logo

Alt5 Sigma Corp (ALTS)

Delisted
17 Jul 2026
NASDAQ (CM) NASDAQ (CM)
$
0. 55
0
0%
Pre Market
$
0. 55
0 0%
119.56M Market Cap
- P/E Ratio
1.4% Div Yield
484,500 Volume
- Eps
$ 0.55
Previous Close
Investors:
Day Range
0.52 0.56
Year Range
0.5 9.76
Want to track ALTS and more in your Portfolio? 🎯
Sign up for Marketlog, a portfolio tracker that will exceed your expectations!

Summary

This company has been delisted from its primary exchange and is no longer publicly traded.
As a result, real-time price data, dividend updates, and corporate disclosures may no longer be available.

ALTS Chart

Trump family got about $500M from crypto venture — but investors saw steep losses

Trump family got about $500M from crypto venture — but investors saw steep losses

Company disclosures show the Trump family was entitled to roughly $500 million from a 2025 crypto transaction between World Liberty Financial and the publicly traded company then called Alt5 Sigma. Alt5 Sigma's stock has fallen more than 90% since just before the deal was announced.

Cnbc | 1 month ago

Alt5 Sigma Corp Investors

Name Quantity Cost Value Profit ($) Gain (%)
JP
John Peralta Roof Eidam Maycock Peralta LLC
43,409 $596,873.75 $37,114.69 -$559,759.06 -93.78%

Alt5 Sigma Corp (ALTS) FAQ

What does "Delisted" mean?

Alt5 Sigma Corp has been removed from the exchange and is no longer publicly traded.

What was the last recorded dividend?

The last recorded dividend was paid on Apr 01, 2022 in the amount of $0.06 per share.

How long did the company pay dividends?

The company did not have a dividend payment history.

Were there any stock splits?

The last recorded stock split occurred on Apr 22, 2019 with a ratio of 1:5.

What was the last known trading price?

The stock last traded at $0.55 on Jul 17, 2026 before being delisted.

Alt5 Sigma Corp Profile

Software Industry
Information Technology Sector
Antonios Isaac CEO
NASDAQ (CM) Exchange
47089W104 CUSIP
US Country
10 Employees
1 Apr 2022 Last Dividend
22 Apr 2019 Last Split
- IPO Date

Overview

The fund operates as a comprehensive investment solution that strategically allocates assets through a fund of ETFs framework. It targets achieving its investment objectives by primarily focusing on investments within a selected array of underlying ETFs. This approach is crafted to offer investors a broad-based solution towards managing their alternatives allocation. By integrating investments in alternative ETFs that are constituents of its benchmark index, the fund strives to provide diversified exposure to alternative asset categories. This form of exposure is designed to complement traditional investments, thereby enhancing the overall investment portfolio. Despite its broad investment strategy, it is important to note that the fund is classified as non-diversified, focusing its assets more significantly in fewer investments.

Products and Services

  • Fund of ETFs
  • This product allows investors to indirectly invest in a diversified portfolio of ETFs through a single investment in the fund. It simplifies the investment process, enabling exposure to a breadth of markets and asset classes. The fund selects ETFs based on their potential to contribute to the fund's overall investment objective, focusing primarily on alternatives. This strategy is aimed at investors seeking a diversified investment solution without the complexity of managing multiple ETF investments.

  • Alternative ETFs Allocation
  • The fund strategically invests in alternative ETFs that form part of its benchmark index. These ETFs provide exposure to alternative asset classes, such as real estate, commodities, and hedge fund strategies, which can offer risk-adjusted returns distinct from traditional equity and fixed-income investments. By incorporating alternatives into the portfolio, the fund aims to enhance diversification, potentially reduce volatility, and improve overall investment returns when coupled with traditional assets.

  • Diversified Exposure to Alternative Asset Classes
  • Through its index, the fund offers investors diversified exposure to a range of alternative asset classes. This exposure is tailored to complement traditional investment portfolios, potentially offering a hedge against market volatility and a source of uncorrelated returns. The aim is to balance the portfolio, making it resilient in varying market conditions and aligned with long-term investment objectives. The fund's focus on alternative assets through its index-based approach marks a strategic endeavor to capitalize on the benefits these assets can provide.

Contact Information

Address: 325 East Warm Springs Road
Phone: 702 997 5968