Skip to content

ETFs

The value of shares in the Fund and income received from it can go down as well as up, and investors may not get back the full amount invested. Past performance does not predict future returns.

Performance

Show Performance (%)
As of 11/30/2025
Currency 
USD

As of 12/09/2025

NAV1 
$34.27
NAV Change1 
-0.52%

$-0.18

Average Annual Total Returns At NAV (%)
As of 11/30/2025

1 Year 
24.88
3 Year 
13.78
5 Year 
6.73
10 Year 
Since Inception 
3.73
10/17/2017
Currency 
USD

As of 12/09/2025

NAV1 
$29.38
NAV Change1 
0.03%

$0.01

Average Annual Total Returns At NAV (%)
As of 11/30/2025

1 Year 
35.79
3 Year 
10.65
5 Year 
8.01
10 Year 
Since Inception 
2.51
06/04/2019
Currency 
USD

As of 12/09/2025

NAV1 
$32.56
NAV Change1 
-1.24%

$-0.41

Average Annual Total Returns At NAV (%)
As of 11/30/2025

1 Year 
35.83
3 Year 
13.61
5 Year 
-2.51
10 Year 
Since Inception 
4.31
06/04/2019
Currency 
USD

As of 12/09/2025

NAV1 
$44.33
NAV Change1 
0.09%

$0.04

Average Annual Total Returns At NAV (%)
As of 11/30/2025

1 Year 
0.36
3 Year 
9.98
5 Year 
11.81
10 Year 
Since Inception 
9.60
06/25/2019
Currency 
USD

As of 12/09/2025

NAV1 
$49.73
NAV Change1 
-0.92%

$-0.46

Average Annual Total Returns At NAV (%)
As of 11/30/2025

1 Year 
60.82
3 Year 
16.69
5 Year 
5.12
10 Year 
Since Inception 
9.84
06/04/2019
Currency 
USD

As of 12/09/2025

NAV1 
$68.11
NAV Change1 
-0.07%

$-0.05

Average Annual Total Returns At NAV (%)
As of 11/30/2025

1 Year 
13.29
3 Year 
13.62
5 Year 
12.58
10 Year 
Since Inception 
12.81
09/06/2017

Fund Identifiers