NUHY Holdings — Nuveen ESG High Yield Corporate Bond ETF

All 376 reported holdings of Nuveen ESG High Yield Corporate Bond ETF (NUHY) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
State Str Navigator Secs L Tr3.21%$3.47M
Clarios Global LP / Clarios US Finance Co1.34%$1.45M
Cooper-Standard Automotive Inc1.26%$1.36M
Performance Food Group I1.17%$1.27M
Level 3 Financing Inc1.15%$1.24M
Level 3 Financing Inc1.00%$1.08M
Goodyear Tire & Rubber0.99%$1.07M
Sabre GLBL Inc0.96%$1.04M
Sabre Financial Borrower LLC0.95%$1.03M
Chart Industries, Inc.0.80%$866.84K
NCL Corp Ltd0.79%$855.78K
Performance Food Group Inc0.77%$832.29K
NCL Corp Ltd0.76%$822.66K
Chemours Co/The0.72%$783.32K
American Axle & Manufacturing Inc0.72%$781.06K
Kodiak Gas Services LLC0.70%$757.24K
Chemours Co.0.70%$752.96K
Clarios Global LP / Clarios US Finance Co0.68%$736.52K
Genesis Energy LP / Genesis Energy Finance Corp0.67%$725.20K
Starwood Property Trust Inc0.66%$717.09K
Gray Media Inc0.66%$712.77K
Performance Food Group Inc0.66%$709.57K
Goodyear Tire & Rubber0.63%$683.49K
PennyMac Financial Services Inc0.60%$644.84K
Genesis Energy LP / Genesis Energy Finance Corp0.59%$634.27K
Goodyear Tire & Rubber0.58%$631.73K
NRG Energy Inc0.57%$615.76K
TransDigm Inc0.56%$610.67K
OneMain Finance Corp0.56%$604.90K
Mcafee Corp.0.56%$603.64K
NCL Corp Ltd0.54%$583.99K
Celanese US Holdings LLC0.53%$575.19K
Avient Corp.0.53%$570.35K
Genesis Energy LP / Genesis Energy Finance Corp0.53%$568.48K
goeasy Ltd0.52%$567.38K
Entegris Escrow Corp.0.52%$566.89K
Tempur Sealy Intl, Inc.0.52%$564.19K
JetBlue Airways Corp / JetBlue Loyalty LP0.52%$563.48K
Vz Secured Financing Bv0.52%$560.81K
Post Holdings, Inc.0.51%$554.68K
Tenneco Inc0.50%$546.42K
Ncl Corporation Ltd.0.49%$532.40K
Concentra Health Services Inc0.49%$528.51K
XPLR Infrastructure Operating Partners LP0.48%$524.08K
Celanese US Holdings LLC0.47%$513.33K
Owens-Brockway0.47%$506.50K
Healthequity, Inc.0.47%$504.72K
Energy Transfer LP0.47%$503.59K
United Rentals North America Inc0.47%$503.51K
Antero Midstream Partners LP / Antero Midstream Finance Corp0.46%$498.71K
Albertsons Cos Inc / Safeway Inc / New Albertsons LP / Albertsons LLC0.46%$497.22K
United Airlines Holdings Inc0.46%$492.81K
Albertsons Cos Inc / Safeway Inc / New Albertsons LP / Albertsons LLC0.45%$484.26K
1011778 BC ULC / New Red Finance Inc0.45%$483.38K
Aston Martin Capital Holdings Ltd0.44%$481.70K
Celanese US Holdings LLC0.44%$476.90K
Windstream Services LLC / Windstream Escrow Finance Corp0.44%$475.96K
Baldwin Insurance Group Holdings LLC / Baldwin Insurance Group Holdings Finance0.44%$475.87K
1261229 BC Ltd0.44%$475.08K
Service Corp. Intl0.44%$472.41K
TransDigm Inc0.42%$458.98K
Adapthealth LLC0.42%$455.12K
Acushnet Co0.42%$452.09K
Xhr LP0.42%$451.49K
goeasy Ltd0.41%$448.08K
Sinclair Television Group Inc0.41%$445.30K
Albertsons Cos Inc / Safeway Inc / New Albertsons LP / Albertsons LLC0.40%$438.08K
CHS/Community Health Systems Inc0.40%$433.19K
Genmab A/s/genmab Finance LLC0.40%$431.02K
Chemours Co/The0.40%$429.50K
Connect Finco SARL / Connect US Finco LLC0.39%$421.87K
Genesis Energy LP / Genesis Energy Finance Corp0.38%$415.74K
Navient Corp.0.38%$415.09K
Domtar Corp.0.38%$413.63K
Merlin Entertainments Group US Holdings Inc0.38%$412.23K
Starwood Property Trust Inc0.38%$411.40K
Rocketmtge Co.-Issuer, Inc.0.38%$408.14K
Select Medical Corp0.38%$407.83K
NCR Atleos Corp0.37%$404.27K
TransDigm Inc0.37%$403.08K
Park Intermed Holdings0.37%$398.82K
PacifiCorp0.37%$398.69K
Perrigo Finance Unlimite0.37%$398.36K
Masterbrand Inc0.37%$397.83K
FTAI Aviation Investors LLC0.37%$397.75K
OneMain Finance Corp0.36%$393.44K
RR Donnelley & Sons Co0.36%$392.21K
Kinetik Holdings LP0.36%$391.32K
Sotera Health Holdings LLC0.36%$384.59K
New Flyer Holdings Inc0.35%$377.67K
Chs/community Health Sys0.35%$377.69K
Hilton Grand Vac Bor Esc0.35%$377.57K
Wolverine World Wide0.35%$373.91K
Veritiv Operating Co0.34%$368.82K
Genesis Energy Lp/fin0.34%$366.69K
FTAI Aviation Ltd0.33%$362.22K
Celanese US Holdings LLC0.33%$360.85K
Rogers Communications Inc0.33%$357.24K
Summit Midstream Holdings LLC0.33%$355.49K
Ball Corp.0.33%$354.75K
Industrial F&B Investments III Inc0.33%$353.68K
Diebold Nixdorf Inc0.32%$346.65K
Cornerstone Building Brands Inc0.32%$345.33K
TransDigm Inc0.31%$340.17K
American Axle & Mfg, Inc.0.31%$340.09K
Rakuten Group, Inc.0.31%$334.99K
Clue Opco LLC0.31%$332.12K
Antero Midstream Part/fi0.30%$329.67K
Hilton Domestic Operatin0.30%$329.57K
PennyMac Financial Services Inc0.30%$329.27K
Petco Health & Wellness Co Inc0.30%$328.21K
Rogers Communications Inc0.30%$328.05K
Clariv Sci Hld Corp.0.30%$326.49K
Herc Holdings Inc0.30%$324.64K
CHS/Community Health Systems Inc0.30%$322.20K
Bausch Health Cos, Inc.0.30%$321.36K
Post Holdings Inc0.30%$321.02K
Ryan Specialty LLC0.30%$320.95K
Coherent Corp.0.29%$316.54K
Gap Inc/the0.29%$316.06K
Valaris Ltd.0.29%$312.83K
Newell Brands, Inc.0.29%$309.79K
Molina Healthcare, Inc.0.29%$309.66K
TransDigm Inc0.28%$308.19K
Six Flags/can Won/millen0.28%$305.00K
Life Time Inc0.28%$304.54K
LifePoint Health Inc0.28%$304.27K
QXO Building Products Inc0.28%$303.97K
NRG Energy Inc0.28%$303.49K
Centene Corp.0.28%$303.42K
Prog Holdings, Inc.0.28%$302.89K
Vodafone Group PLC0.28%$302.75K
Archrock Services/partne0.28%$301.95K
NRG Energy Inc0.28%$297.78K
Sk Invictus Intermediate0.27%$295.62K
Midas Opco Holdings LLC0.27%$294.89K
Thor Industries0.27%$293.50K
1011778 BC ULC / New Red Finance Inc0.27%$292.60K
Hess Midstream Operations LP0.26%$286.88K
US Foods, Inc.0.26%$283.63K
Chart Industries, Inc.0.26%$278.55K
Celanese US Holdings LLC0.25%$268.36K
Match Group Holdings II LLC0.25%$266.77K
AES Corp/The0.24%$264.87K
Kioxia Holdings Corp0.24%$261.34K
Credit Acceptance Corp0.24%$261.12K
Seaworld Parks & Enterta0.24%$261.03K
Garrett Motion Holdings Inc / Garrett LX I Sarl0.24%$261.02K
Credit Acceptance Corp0.24%$260.70K
Sba Communications Corp.0.24%$259.92K
Surgery Center Holdings Inc0.24%$259.31K
Fair Isaac Corp0.24%$256.42K
Six Flags Entertainment0.24%$256.36K
Open Text Holdings, Inc.0.24%$256.16K
Genesee & Wyoming Inc0.24%$255.87K
Six Flags Entertainment0.23%$254.45K
Rhp Hotel Ppty/rhp Finan0.23%$253.63K
Ally Financial, Inc.0.23%$252.95K
Esab Corp0.23%$252.30K
NRG Energy Inc0.23%$251.93K
Herc Holdings Inc0.23%$249.69K
Asbury Automotive Group0.23%$249.32K
ADT Security Corp/The0.23%$246.29K
PacifiCorp0.22%$243.33K
Pbf Holding Co. LLC0.22%$242.95K
Uniti Grp/uniti Hld/csl0.22%$241.56K
Travel + Leisure Co.0.22%$241.56K
British Telecommunicatio0.22%$240.73K
AltaGas Ltd0.22%$238.96K
Aecom0.22%$238.93K
Terex Corp.0.22%$238.37K
Gray Media Inc0.22%$236.76K
Gray Escrow Ii, Inc.0.22%$234.30K
Clear Channel Outdoor Holdings Inc0.22%$234.26K
Stena International SA0.22%$233.86K
PennyMac Financial Services Inc0.21%$232.28K
Ferrellgas LP / Ferrellgas Finance Corp0.21%$230.91K
Marriott Ownership Resorts Inc0.21%$230.77K
Iron Mountain Info Mgmt0.21%$226.91K
Herc Holdings Inc0.21%$225.42K
Yum! Brands, Inc.0.21%$225.12K
Adient Global Holdings0.21%$224.27K
Crown Americas LLC0.20%$221.60K
Topbuild Corp.0.20%$219.92K
Rakuten Group Inc0.20%$219.40K
Builders Firstsource, Inc.0.20%$218.92K
Axalta Coating Systems Dutch Holding B BV0.20%$218.06K
Ball Corp.0.20%$217.61K
DaVita Inc0.20%$216.76K
Bell Telephone Co of Canada or Bell Canada0.20%$215.85K
CompoSecure Holdings LLC0.20%$215.64K
Tidewater Inc0.20%$215.30K
PBF Holding Co LLC / PBF Finance Corp0.20%$214.90K
Burford Capital Global Finance LLC0.20%$213.68K
Sensata Technologies Bv0.20%$213.65K
Encore Capital Group Inc0.20%$213.59K
ams-OSRAM AG0.20%$213.56K
Cimpress PLC0.20%$212.66K
Belron UK Finance PLC0.20%$212.11K
Suburban Propane Partnrs0.20%$211.21K
Forvia SE0.19%$210.60K
Tgs Asa0.19%$208.86K
Seagate Data Storage Technology Pte Ltd0.19%$208.86K
MPT Operating Partnership LP / MPT Finance Corp0.19%$207.78K
TransDigm Inc0.19%$207.25K
TransMontaigne Partners LLC0.19%$206.99K
FTAI Aviation Investors LLC0.19%$206.45K
DaVita Inc0.19%$206.21K
Transdigm, Inc.0.19%$206.12K
Rakuten Group Inc0.19%$204.30K
HLF Financing Sarl LLC / Herbalife International Inc0.19%$204.28K
Gray Media Inc0.19%$203.34K
Iron Mountain Inc0.19%$203.10K
Long Ridge Energy LLC0.19%$203.07K
ContourGlobal Power Holdings SA0.19%$203.00K
TransDigm Inc0.19%$201.91K
Sensata Technologies Bv0.19%$201.52K
Lamb Weston Hld0.19%$201.19K
Global Atlantic Fin Co0.19%$200.57K
WESCO Distribution Inc0.18%$199.49K
Avianca Midco 2 PLC0.18%$197.93K
Sunoco LP0.18%$197.31K
Howard Hughes Corp.0.18%$196.63K
Stonex Escrow Issuer LLC0.18%$195.42K
Axon Enterprise Inc0.18%$194.97K
Sunoco LP0.18%$194.51K
Avis Budget Car/finance0.18%$194.33K
Celanese US Holdings LLC0.18%$193.69K
Sirius Xm Radio, Inc.0.18%$192.82K
Navient Corp0.18%$192.52K
Sonic Automotive, Inc.0.18%$192.29K
Anywhere Real Estate Group LLC / Anywhere Co-Issuer Corp0.18%$192.09K
Unisys Corp0.18%$190.91K
Post Holdings Inc0.18%$189.93K
Apollo Cmmrl Real Est Fi0.18%$189.96K
Sunoco LP0.17%$188.52K
XPO Inc0.17%$187.71K
Post Holdings Inc0.17%$187.56K
Pennymac Fin Svcs, Inc.0.17%$185.57K
StoneX Group Inc0.17%$184.26K
Century Communities0.17%$179.93K
iHeartCommunications Inc0.16%$175.33K
Glatfelter0.16%$174.03K
Sabre GLBL Inc0.16%$173.62K
Marriott Ownership Resor0.16%$172.12K
Apld Computeco LLC0.16%$171.98K
Hilton Grand Vacations Borrower LLC / Hilton Grand Vacations Borrower Inc0.16%$171.97K
Hilton Domestic Operatin0.16%$170.46K
iHeartCommunications Inc0.16%$168.44K
Tempur Sealy Intl, Inc.0.15%$164.45K
Elastic NV0.15%$161.36K
Allison Transmission, Inc.0.15%$159.73K
Avianca Midco 2 PLC0.15%$159.08K
Excelerate Energy LP0.15%$159.07K
Advance Auto Parts Inc0.14%$154.77K
Archrock Partners LP / Archrock Partners Finance Corp0.14%$154.34K
Gates Corp/DE0.14%$154.31K
Acadia Healthcare Co Inc0.14%$153.43K
WESCO Distribution Inc0.14%$152.95K
Covanta Holding Corp.0.14%$152.92K
Gen Digital, Inc.0.14%$152.12K
Avient Corp0.14%$152.18K
Avis Budget Car Rental LLC / Avis Budget Finance Inc0.14%$151.41K
HA Sustainable Infrastructure Capital Inc0.14%$151.42K
Columbus McKinnon Corp/NY0.14%$150.86K
Ziprecruiter, Inc.0.14%$150.07K
Cinemark USA Inc0.14%$149.85K
EUSHI Finance Inc0.14%$148.56K
Albertsons Cos Inc / Safeway Inc / New Albertsons LP / Albertsons LLC0.14%$147.98K
Global Atlantic Fin Co0.14%$147.85K
Uniti Group/csl Capital0.14%$147.38K
Avis Budget Car/finance0.14%$146.44K
Avantor Funding, Inc.0.13%$142.59K
Albertsons Cos/safeway0.13%$141.66K
Hertz Corp/The0.13%$141.41K
NRG Energy Inc0.13%$139.47K
Insight Enterprises Inc0.13%$138.87K
Sabre GLBL Inc0.13%$138.44K
Lifepoint Health, Inc.0.13%$137.83K
Dye & Durham Ltd0.13%$136.94K
Williams Scotsman Inc0.12%$135.39K
Match Group Hld Ii LLC0.12%$134.42K
Alta Equipment Group Inc0.12%$132.94K
Patrick Industries Inc0.12%$130.80K
Clear Channel Outdoor Ho0.12%$130.24K
Uniti Group/csl Capital0.12%$129.50K
WEX Inc0.12%$129.48K
Kennedy-Wilson, Inc.0.12%$127.88K
Brandywine Operating Partnership LP0.12%$125.59K
Adient Global Holdings0.11%$122.09K
Molina Healthcare Inc0.11%$119.87K
CACI International Inc0.11%$117.65K
Hess Midstream Operation0.11%$116.38K
Option Care Health, Inc.0.11%$116.14K
Whirlpool Corp0.11%$114.93K
Ritchie Bros Hldgs, Inc.0.11%$114.21K
TELUS Corp0.11%$113.78K
AAR Escrow Issuer LLC0.10%$113.32K
Iron Mountain, Inc.0.10%$112.41K
Primo Water Holdings Inc / Triton Water Holdings Inc0.10%$112.23K
Group 1 Automotive Inc0.10%$111.79K
Resideo Funding Inc0.10%$111.01K
Sunoco LP0.10%$109.61K
Chs/community Health Sys0.10%$108.22K
Celanese US Holdings LLC0.10%$108.15K
AmeriGas Partners LP / AmeriGas Finance Corp0.10%$106.78K
PRA Group Inc0.10%$106.57K
Calumet Specialty Products Partners LP / Calumet Finance Corp0.10%$105.97K
South Bow Canadian Infrastructure Holdings Ltd0.10%$105.72K
FTAI Aviation Investors LLC0.10%$105.00K
Enova International Inc0.10%$104.75K
Kennedy-Wilson, Inc.0.10%$104.58K
Arcosa Inc0.10%$103.87K
Synchrony Financial0.10%$103.67K
Trinity Industries, Inc.0.09%$102.64K
Edison International0.09%$102.59K
Northriver Midstream Finance LP0.09%$102.39K
Kodiak Gas Services LLC0.09%$102.29K
Bread Financial Holdings Inc0.09%$102.16K
Axon Enterprise Inc0.09%$102.25K
Zebra Technologies Corp0.09%$101.95K
Vail Resorts Inc0.09%$102.01K
Clearway Energy Op LLC0.09%$102.00K
Advanced Drainage System0.09%$101.44K
Transdigm, Inc.0.09%$101.35K
Ritchie Bros Hldgs, Inc.0.09%$101.36K
TELUS Corp0.09%$101.12K
SLM Corp0.09%$100.96K
Viasat Inc0.09%$100.22K
Graphic Packaging International LLC0.09%$99.80K
Antero Midstream Partners LP / Antero Midstream Finance Corp0.09%$99.80K
Cinemark USA, Inc.0.09%$99.61K
Vail Resorts Inc0.09%$99.40K
Transdigm, Inc.0.09%$98.82K
Whirlpool Corp0.09%$98.06K
Sonic Automotive, Inc.0.09%$97.83K
Adt Sec Corp.0.09%$96.17K
Navient Corp.0.09%$96.11K
HA Sustainable Infrastructure Capital Inc0.09%$95.53K
Lamb Weston Hld0.09%$94.18K
Weatherford Internationa0.09%$92.90K
Iqvia, Inc.0.08%$91.85K
Chs/community Health Sys0.08%$88.66K
MPH Acquisition Holdings LLC0.08%$82.91K
Encore Capital Group Inc0.08%$81.31K
Post Holdings Inc0.07%$79.47K
Victoria's Secret & Co.0.07%$75.14K
Level 3 Financing Inc0.07%$74.97K
Ardagh Metal Packaging0.07%$74.87K
Hertz Corp/the0.07%$73.74K
FMC Corp0.07%$72.90K
RHP Hotel Properties LP / RHP Finance Corp0.07%$71.83K
Clear Channel Outdoor Ho0.07%$70.50K
LifePoint Health Inc0.06%$68.25K
Lithia Motors, Inc.0.05%$57.50K
Block Inc0.05%$56.05K
Primo Water Holdings Inc / Triton Water Holdings Inc0.05%$55.07K
Owens & Minor, Inc.0.05%$53.74K
EW Scripps Co/The0.05%$50.15K
Celanese US Holdings LLC0.04%$46.82K
NRG Energy Inc0.04%$44.84K
B&G Foods Inc0.04%$44.60K
Sc Games Holdin/us Finco0.04%$42.20K
Univision Communications0.04%$41.98K
CoreWeave Inc0.04%$40.23K
Asbury Automotive Group0.03%$34.06K
Moneygram Intl, Inc.0.03%$33.95K
Phinia Inc0.02%$25.59K
Methanex US Operations Inc0.02%$24.70K
Celanese US Holdings LLC0.02%$20.98K
Univision Communications Inc0.02%$20.11K
Realogy Group/co-Issuer0.02%$19.60K
Celanese US Holdings LLC0.01%$15.34K
Clariv Sci Hld Corp.0.01%$9.66K
Open Text Corp.0.01%$9.01K
Adapthealth LLC0.00%$1.95K

NUHY overview: performance, fees, allocation and SEC filings