ETFs - Profile

Nuveen ESG Large-Cap Value ETF

US > Large-Cap > Value

Rank

Universe Rank
12 10

Summary

The fund seeks to replicate the total return performance of the benchmark index, before fees and expenses, by investing in large-and mega-size companies in the United States.

The sub-adviser’s investment process starts with a list of companies in the benchmark index and the research team utilizes quantitative techniques and fundamental analysis to identify investment opportunities.

As part of its strategy, the fund employs a passive management or indexing approach.

Next, the research team invests significantly in component securities of the Index.

The Index is comprised of equity securities of companies that exhibit value characteristics and that meet certain environmental, social, and governance criteria.

Then the manager constructs a portfolio of stocks from a list of companies favored by the research team and allocates capital based on its conviction level.

The fund seeks to replicate the composition of the benchmark index, holding each security in approximately the More

Philosophy Strategy Process Reaserch Risk Management

Price

  • Last Close
  • $38.96
    -0.14
  • 52 Week HL
  • $39.31 - $30.89
  • Net Assets
  • $1080 M
  • Expense Ratio

Portfolio

  • Holdings
  • -
  • Turnover Ratio
  • -

Performance
0.5 % YTD

  • 3 Year
  • 43.69%
  • 5 Year
  • 41.68%
  • Best
  • 25.42%
    2019
  • Worst
  • 0%
    2020

Returns +
A

2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012
NULV 1%20%0%25%0%0%0%0%0%0%0%
S&P 500 -2%27%16%29%-6%19%10%-1%11%30%13%

Returns +
Q

2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012
Q1 - 11.1% -25.6% 12% -1.5% - - - - - -
Q2 - 3.9% 14.3% 2.1% 4.4% 3.2% - - - - -
Q3 - 1.1% 4.2% 2.8% 5.9% 3.4% - - - - -
Q4 - 2.6% -100% 5% -10.5% 5.2% - - - - -

Returns +
M

J F M A M J J A S O N D
2022 - - - - - - - - - - - -
2021 -0.8% 4.6% 7.1% 3.1% 2.4% -1.5% 2% 1.7% -2.9% 4.4% -3.2% 1.5%

Annual
Return

Index Comparison

Alpha

NAV