ETF Series Solutions

Nationwide Nasdaq-100 Risk-Managed Income ETF

Exchange-Traded Fund
Series ID: S000067096
LEI: 549300RX73QRM04RDJ68
SEC CIK: 1540305
$474.20M Avg Monthly Net Assets
$373.10M Total Assets
$1.22M Total Liabilities
$371.88M Net Assets
Nationwide Nasdaq-100 Risk-Managed Income ETF is an Exchange-Traded Fund in ETF Series Solutions , based in Wisconsin, United States of America. The fund has one share class and monthly net assets of $474.20M. On July 30th, 2024 it reported 104 holdings, the largest being Microsoft Corp (8.4%), Apple Inc (8.1%) and NVIDIA Corp (7.5%). Data provided by Fincoded.

Share Classes

Name Class/Contract ID Exchange Ticker Monthly Returns (2 years)
Nationwide Nasdaq-100 Risk-Managed Income ETF C000215844 ARCX NUSI May 22Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 2410.70% (Max)-13.97% (Min)

Holdings

From latest NPORT-P, filed July 30th, 2024 for period ending May 31st, 2024. Historic holdings data available from Fincoded.
Name Profile Category Country Value $USD # Shares % of Fund
Adobe Inc Long Equity-common US $5M 12K 1.41
Advanced Micro Devices Inc Long Equity-common US $7M 42K 1.89
Airbnb Inc Long Equity-common US $2M 12K 0.45
Alphabet Inc Long Equity-common US $10M 59K 2.75
Alphabet Inc Long Equity-common US $10M 57K 2.67
Amazon.com Inc Long Equity-common US $19M 105K 4.99
American Electric Power Co Inc Long Equity-common US $1M 14K 0.34
Amgen Inc Long Equity-common US $4M 14K 1.17
Analog Devices Inc Long Equity-common US $3M 13K 0.84
ANSYS Inc Long Equity-common US $749K 2K 0.20
Apple Inc Long Equity-common US $30M 156K 8.06
Applied Materials Inc Long Equity-common US $5M 22K 1.29
ASML Holding NV Long Equity-common NL $2M 2K 0.59
AstraZeneca PLC Long Equity-common GB $1M 15K 0.32
Atlassian Corp Long Equity-common AU $656K 4K 0.18
Autodesk Inc Long Equity-common US $1M 6K 0.31
Automatic Data Processing Inc Long Equity-common US $3M 11K 0.72
Baker Hughes Co Long Equity-common US $898K 27K 0.24
Biogen Inc Long Equity-common US $875K 4K 0.24
Booking Holdings Inc Long Equity-common US $3M 907 0.92
Broadcom Inc Long Equity-common US $16M 12K 4.35
Cadence Design Systems Inc Long Equity-common US $2M 7K 0.56
CDW Corp/DE Long Equity-common US $805K 4K 0.22
Charter Communications Inc Long Equity-common US $1M 4K 0.31
Cintas Corp Long Equity-common US $2M 3K 0.50
Cisco Systems Inc Long Equity-common US $5M 105K 1.31
Coca-Cola Europacific Partners PLC Long Equity-common GB $899K 12K 0.24
Cognizant Technology Solutions Corp Long Equity-common US $886K 13K 0.24
Comcast Corp Long Equity-common US $4M 103K 1.11
Constellation Energy Corp Long Equity-common US $2M 9K 0.50
Copart Inc Long Equity-common US $1M 26K 0.36
CoStar Group Inc Long Equity-common US $848K 11K 0.23
Costco Wholesale Corp Long Equity-common US $9M 12K 2.51
Crowdstrike Holdings Inc Long Equity-common US $2M 6K 0.52
CSX Corp Long Equity-common US $2M 53K 0.48
Datadog Inc Long Equity-common US $893K 8K 0.24
Dexcom Inc Long Equity-common US $1M 10K 0.33
Diamondback Energy Inc Long Equity-common US $958K 5K 0.26
Dollar Tree Inc Long Equity-common US $687K 6K 0.18
DoorDash Inc Long Equity-common US $1M 10K 0.29
Electronic Arts Inc Long Equity-common US $956K 7K 0.26
Exelon Corp Long Equity-common US $997K 27K 0.27
Fastenal Co Long Equity-common US $1M 15K 0.27
Fortinet Inc Long Equity-common US $1M 21K 0.33
GE HealthCare Technologies Inc Long Equity-common US $949K 12K 0.26
Gilead Sciences Inc Long Equity-common US $2M 33K 0.57
GLOBALFOUNDRIES Inc Long Equity-common US $716K 15K 0.19
Honeywell International Inc Long Equity-common US $3M 17K 0.92
IDEXX Laboratories Inc Long Equity-common US $1M 2K 0.30
Illumina Inc Long Equity-common US $441K 4K 0.12
Intel Corp Long Equity-common US $3M 113K 0.94
Intuit Inc Long Equity-common US $4M 7K 1.14
Intuitive Surgical Inc Long Equity-common US $4M 9K 1.02
Invesco Government & Agency Portfolio Long Short-term investment vehicle US $3M 3M 0.72
Keurig Dr Pepper Inc Long Equity-common US $1M 37K 0.34
KLA Corp Long Equity-common US $3M 4K 0.75
Kraft Heinz Co/The Long Equity-common US $1M 33K 0.31
Lam Research Corp Long Equity-common US $3M 3K 0.86
Linde PLC Long Equity-common US $5M 13K 1.47
Lululemon Athletica Inc Long Equity-common CA $1M 3K 0.27
Marriott International Inc/MD Long Equity-common US $2M 8K 0.49
Marvell Technology Inc Long Equity-common US $2M 23K 0.43
MercadoLibre Inc Long Equity-common UY $2M 1K 0.64
Meta Platforms Inc Long Equity-common US $17M 36K 4.46
Microchip Technology Inc Long Equity-common US $1M 14K 0.38
Micron Technology Inc Long Equity-common US $4M 29K 0.99
Microsoft Corp Long Equity-common US $31M 75K 8.36
Moderna Inc Long Equity-common US $1M 10K 0.39
Mondelez International Inc Long Equity-common US $2M 36K 0.67
MongoDB Inc Long Equity-common US $453K 2K 0.12
Monster Beverage Corp Long Equity-common US $1M 28K 0.39
NDX US 06/21/24 C19150 Derivative-equity US $-1M -0.27
NDX US 06/21/24 P16750 Derivative-equity US $499K 0.13
Netflix Inc Long Equity-common US $7M 11K 1.94
NVIDIA Corp Long Equity-common US $28M 25K 7.45
NXP Semiconductors NV Long Equity-common NL $2M 7K 0.51
O'Reilly Automotive Inc Long Equity-common US $2M 2K 0.41
Old Dominion Freight Line Inc Long Equity-common US $1M 6K 0.28
ON Semiconductor Corp Long Equity-common US $834K 11K 0.22
PACCAR Inc Long Equity-common US $1M 14K 0.40
Palo Alto Networks Inc Long Equity-common US $2M 8K 0.67
Paychex Inc Long Equity-common US $1M 10K 0.31
PayPal Holdings Inc Long Equity-common US $2M 29K 0.49
PDD Holdings Inc Long Equity-common IE $3M 18K 0.72
PepsiCo Inc Long Equity-common US $6M 36K 1.67
QUALCOMM Inc Long Equity-common US $6M 30K 1.63
Regeneron Pharmaceuticals Inc Long Equity-common US $3M 3K 0.76
Roper Technologies Inc Long Equity-common US $2M 3K 0.41
Ross Stores Inc Long Equity-common US $1M 9K 0.34
Sirius XM Holdings Inc Long Equity-common US $287K 102K 0.08
Starbucks Corp Long Equity-common US $2M 30K 0.65
Synopsys Inc Long Equity-common US $2M 4K 0.62
T-Mobile US Inc Long Equity-common US $5M 31K 1.45
Take-Two Interactive Software Inc Long Equity-common US $732K 5K 0.20
Tesla Inc Long Equity-common US $9M 49K 2.33
Texas Instruments Inc Long Equity-common US $5M 24K 1.27
Trade Desk Inc/The Long Equity-common US $1M 12K 0.30
Verisk Analytics Inc Long Equity-common US $982K 4K 0.26
Vertex Pharmaceuticals Inc Long Equity-common US $3M 7K 0.84
Walgreens Boots Alliance Inc Long Equity-common US $373K 23K 0.10
Warner Bros Discovery Inc Long Equity-common US $540K 65K 0.15
Workday Inc Long Equity-common US $1M 6K 0.32
Xcel Energy Inc Long Equity-common US $817K 15K 0.22
Zscaler Inc Long Equity-common US $678K 4K 0.18

Transfer Agents

U.S. Bancorp Fund Services, LLC

Pricing Services

ICE Data Pricing & Reference Data, LLC

Custodians

U.S. Bank National Association

Shareholder Servicing Agents

N/A

Admins

U.S. Bancorp Fund Services, LLC

Brokers

VIRTU AMERICAS LLC
MERRILL LYNCH, PIERCE, FENNER & SMITH INCORPORATED
MISCHLER FINANCIAL GROUP, INC.
BOFAML SECURITIES, INC.
GOLDMAN SACHS & CO. LLC