C000236604 Holdings — Nuveen Global Net Zero Transition ETF

All 70 reported holdings of Nuveen Global Net Zero Transition ETF (C000236604) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Amazon.com Inc5.06%$325.72K
Microsoft Corp4.15%$267.33K
Taiwan Semiconductor Manufacturing Co Ltd3.53%$227.32K
Alphabet Inc3.42%$220.26K
Novo Nordisk A/S2.96%$190.97K
Schneider Electric SE2.94%$189.06K
Linde PLC2.34%$150.56K
Walmart Inc2.22%$142.70K
Trane Technologies PLC2.06%$132.37K
Costco Wholesale Corp1.89%$121.66K
JPMorgan Chase & Co1.86%$119.59K
E Ink Holdings Inc1.78%$114.79K
Quanta Services Inc1.73%$111.46K
Mastercard Inc1.73%$111.29K
Toyota Motor Corp1.72%$110.47K
Cheniere Energy Inc1.67%$107.39K
Cigna Group/The1.58%$101.81K
Reliance Industries Ltd1.46%$93.73K
Rwe AG1.42%$91.21K
Manhattan Associates Inc1.40%$90.40K
Shell PLC1.39%$89.37K
Flowserve Corp1.38%$88.56K
Stryker Corp1.37%$88.08K
Prologis Inc1.36%$87.73K
BYD Co Ltd1.36%$87.56K
Commonwealth Bank of Australia1.35%$86.64K
Progressive Corp/The1.32%$84.79K
Keyence Corp1.28%$82.33K
Airbnb Inc1.27%$81.78K
Gsk PLC1.24%$79.99K
SUMCO Corp1.24%$79.55K
Walt Disney Co/The1.23%$79.45K
Southern Co/The1.23%$79.01K
Occidental Petroleum Corp1.22%$78.64K
ServiceNow Inc1.20%$77.37K
Wells Fargo & Co1.19%$76.67K
Procter & Gamble Co/The1.19%$76.52K
Delta Electronics Inc1.17%$75.66K
Exxon Mobil Corp1.16%$74.94K
Procore Technologies Inc1.14%$73.66K
NextEra Energy Inc1.12%$72.34K
Apple Inc1.11%$71.73K
Centene Corp1.09%$70.46K
ING Groep NV1.09%$69.89K
Vinci SA1.06%$68.33K
McDonald's Corp1.05%$67.94K
Anheuser-Busch InBev SA/NV1.05%$67.80K
Samsung SDI Co Ltd1.03%$66.60K
Fiserv Inc1.03%$66.08K
Merck & Co Inc1.02%$65.39K
Goodman Group1.00%$64.34K
EssilorLuxottica SA1.00%$64.14K
Bp PLC0.99%$63.46K
Kering SA0.98%$62.80K
Sanofi0.97%$62.62K
BHP Group Ltd0.97%$62.26K
Veolia Environnement SA0.95%$61.31K
Infineon Technologies AG0.94%$60.87K
Union Pacific Corp0.90%$58.23K
Schlumberger NV0.83%$53.22K
London Stock Exchange Group PLC0.82%$52.79K
Intel Corp0.77%$49.89K
NexGen Energy Ltd0.77%$49.33K
Starbucks Corp0.74%$47.71K
Rohm Co Ltd0.70%$44.94K
Sun Life Financial Inc0.68%$43.86K
DSM-Firmenich AG0.65%$41.64K
Corteva Inc0.64%$41.12K
Kraft Heinz Co/The0.61%$39.33K
NIKE Inc0.55%$35.63K

C000236604 overview: performance, fees, allocation and SEC filings