0001752724-23-071781.txt : 20230329
0001752724-23-071781.hdr.sgml : 20230329
20230329125356
ACCESSION NUMBER: 0001752724-23-071781
CONFORMED SUBMISSION TYPE: NPORT-P
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20230131
FILED AS OF DATE: 20230329
DATE AS OF CHANGE: 20230329
PERIOD START: 20231031
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Nushares ETF Trust
CENTRAL INDEX KEY: 0001635073
IRS NUMBER: 000000000
FILING VALUES:
FORM TYPE: NPORT-P
SEC ACT: 1940 Act
SEC FILE NUMBER: 811-23161
FILM NUMBER: 23773822
BUSINESS ADDRESS:
STREET 1: 333 W. WACKER DR.
CITY: CHICAGO
STATE: IL
ZIP: 60606
BUSINESS PHONE: 312-917-8146
MAIL ADDRESS:
STREET 1: 333 W. WACKER DR.
CITY: CHICAGO
STATE: IL
ZIP: 60606
FORMER COMPANY:
FORMER CONFORMED NAME: NuShares ETF Trust
DATE OF NAME CHANGE: 20160614
FORMER COMPANY:
FORMER CONFORMED NAME: Nuveen ETF Trust
DATE OF NAME CHANGE: 20150226
0001635073
S000071942
Nuveen Small Cap Select ETF
C000227559
Nuveen Small Cap Select ETF
NSCS
NPORT-P
1
primary_doc.xml
NPORT-P
false
0001635073
XXXXXXXX
S000071942
C000227559
NuShares ETF Trust
811-23161
0001635073
549300UWO63YZ5POLH71
333 W. Wacker Dr
Chicago
60606
312-917-7700
Nuveen Small-Cap Select ETF
S000071942
5493006TQD2R27A4J506
2023-10-31
2023-01-31
N
6057903.00
152160.00
5905743.00
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
113577.00000000
N
Establishment Labs Holdings Inc
549300BCBQ714JNJ7V58
Establishment Labs Holdings Inc
G31249108
718.00000000
NS
USD
48852.72000000
0.827207008500
Long
EC
CORP
US
N
1
N
N
Topgolf Callaway Brands Corp
5493005UB0KFRKBPCU72
Topgolf Callaway Brands Corp
131193104
3375.00000000
NS
USD
82653.75000000
1.399548710467
Long
EC
CORP
US
N
1
N
N
N
Amylyx Pharmaceuticals Inc
N/A
Amylyx Pharmaceuticals Inc
03237H101
507.00000000
NS
USD
19869.33000000
0.336440817014
Long
EC
CORP
US
N
1
N
N
N
Primerica Inc
254900621R686KJR7022
Primerica Inc
74164M108
477.00000000
NS
USD
77154.75000000
1.306435955645
Long
EC
CORP
US
N
1
N
N
N
Brandywine Realty Trust
5UZ46ZCYUFYYAC0DS831
Brandywine Realty Trust
105368203
4762.00000000
NS
USD
31238.72000000
0.528954951138
Long
EC
CORP
US
N
1
N
N
N
Prometheus Biosciences Inc
N/A
Prometheus Biosciences Inc
74349U108
131.00000000
NS
USD
14889.46000000
0.252118319405
Long
EC
CORP
US
N
1
N
N
N
Boot Barn Holdings Inc
529900QE1BFMYA3N4E71
Boot Barn Holdings Inc
099406100
1104.00000000
NS
USD
92172.96000000
1.560734356371
Long
EC
CORP
US
N
1
N
N
N
ESCO Technologies Inc
5493007JJLP5MEWVDH10
ESCO Technologies Inc
296315104
747.00000000
NS
USD
73534.68000000
1.245138503317
Long
EC
CORP
US
N
1
N
N
N
Avient Corp
SM8L9RZYIB34LNTWO040
Avient Corp
05368V106
1934.00000000
NS
USD
78365.68000000
1.326940234277
Long
EC
CORP
US
N
1
N
N
N
Dana Inc
KVWHW7YLZPFJM8QYNJ51
Dana Inc
235825205
4066.00000000
NS
USD
73757.24000000
1.248907038453
Long
EC
CORP
US
N
1
N
N
N
Steven Madden Ltd
549300Z9GZ7GYJWSGF43
Steven Madden Ltd
556269108
2376.00000000
NS
USD
85179.60000000
1.442318096131
Long
EC
CORP
US
N
1
N
N
N
Northern Oil and Gas Inc
OKFF0PIZDDMNH4UCYE51
Northern Oil and Gas Inc
665531307
3400.00000000
NS
USD
113968.00000000
1.929782586204
Long
EC
CORP
US
N
1
N
N
N
STATE STR NAVIGATOR SECS L TR
N/A
State Street Navigator Securities Lending Government Money Market Portfolio
857509301
144022.39000000
NS
USD
144022.39000000
2.438683667745
Long
STIV
RF
US
N
1
N
N
Matador Resources Co
549300CI3Q2UUK5R4G79
Matador Resources Co
576485205
1741.00000000
NS
USD
115184.56000000
1.950382195771
Long
EC
CORP
US
N
1
N
N
N
MACOM Technology Solutions Holdings Inc
N/A
MACOM Technology Solutions Holdings Inc
55405Y100
976.00000000
NS
USD
65411.52000000
1.107591711999
Long
EC
CORP
US
N
1
N
N
N
Peabody Energy Corp
EJCO258LNNVSKAR2JX59
Peabody Energy Corp
704551100
2564.00000000
NS
USD
71509.96000000
1.210854586797
Long
EC
CORP
US
N
1
N
N
N
Evercore Inc
529900P6KLPT95DW3W58
Evercore Inc
29977A105
699.00000000
NS
USD
90737.19000000
1.536422936114
Long
EC
CORP
US
N
1
N
N
N
Ziff Davis Inc
5493008OJYGLHD7MXA18
Ziff Davis Inc
48123V102
826.00000000
NS
USD
73910.48000000
1.251501800874
Long
EC
CORP
US
N
1
N
N
N
Cytokinetics Inc
549300BE5DY1HW7IHA64
Cytokinetics Inc
23282W605
375.00000000
NS
USD
15930.00000000
0.269737440318
Long
EC
CORP
US
N
1
N
N
N
Pinnacle Financial Partners Inc
54930098EZ8JMSAZGS24
Pinnacle Financial Partners Inc
72346Q104
767.00000000
NS
USD
60385.91000000
1.022494714043
Long
EC
CORP
US
N
1
N
N
N
Verra Mobility Corp
549300XX5EKGLR0M4152
Verra Mobility Corp
92511U102
4090.00000000
NS
USD
63108.70000000
1.068598819826
Long
EC
CORP
US
N
1
N
N
N
EastGroup Properties Inc
31TIGQQZC4P6JMHKSW85
EastGroup Properties Inc
277276101
501.00000000
NS
USD
84293.25000000
1.427309823675
Long
EC
CORP
US
N
1
N
N
N
Select Medical Holdings Corp
N/A
Select Medical Holdings Corp
81619Q105
1920.00000000
NS
USD
55814.40000000
0.945086841740
Long
EC
CORP
US
N
1
N
N
N
Spire Inc
549300NXSY15DRY2R511
Spire Inc
84857L101
1069.00000000
NS
USD
77203.18000000
1.307256004875
Long
EC
CORP
US
N
1
N
N
N
Delek US Holdings Inc
5493003O53JMENV1N385
Delek US Holdings Inc
24665A103
2534.00000000
NS
USD
67809.84000000
1.148201674200
Long
EC
CORP
US
N
1
N
N
N
Karuna Therapeutics Inc
N/A
Karuna Therapeutics Inc
48576A100
91.00000000
NS
USD
18144.49000000
0.307234669710
Long
EC
CORP
US
N
1
N
N
N
MYR Group Inc
529900G1IMMZHOQ17I54
MYR Group Inc
55405W104
604.00000000
NS
USD
59832.24000000
1.013119602393
Long
EC
CORP
US
N
1
N
N
N
Applied Industrial Technologies Inc
549300NU173IJRC6PO38
Applied Industrial Technologies Inc
03820C105
525.00000000
NS
USD
75185.25000000
1.273087061187
Long
EC
CORP
US
N
1
N
N
N
Summit Materials Inc
549300XNOLX5GIOSO108
Summit Materials Inc
86614U100
2688.00000000
NS
USD
88327.68000000
1.495623497331
Long
EC
CORP
US
N
1
N
N
N
Kratos Defense & Security Solutions Inc
5493000EKBN0UY1F3F88
Kratos Defense & Security Solutions Inc
50077B207
6251.00000000
NS
USD
71573.95000000
1.211938108380
Long
EC
CORP
US
N
1
N
N
N
Axonics Inc
549300LJY4X7N57VJL05
Axonics Inc
05465P101
1143.00000000
NS
USD
70180.20000000
1.188338198936
Long
EC
CORP
US
N
1
N
N
N
Ladder Capital Corp
549300Q6LLV2QCV67C06
Ladder Capital Corp
505743104
5505.00000000
NS
USD
61656.00000000
1.044000729459
Long
EC
CORP
US
N
1
N
N
N
Sprout Social Inc
N/A
Sprout Social Inc
85209W109
1271.00000000
NS
USD
81305.87000000
1.376725502616
Long
EC
CORP
US
N
1
N
N
N
SPX Technologies Inc
P761FCI0CPOG24I8JE10
SPX Technologies Inc
78473E103
1231.00000000
NS
USD
92337.31000000
1.563517240760
Long
EC
CORP
US
N
1
N
N
N
HealthEquity Inc
529900LRJU1RAFQHM467
HealthEquity Inc
42226A107
1268.00000000
NS
USD
77157.80000000
1.306487600290
Long
EC
CORP
US
N
1
N
N
N
Primo Water Corp
5493005TMUI9D3MY9I37
Primo Water Corp
74167P108
3652.00000000
NS
USD
57153.80000000
0.967766460545
Long
EC
CORP
US
N
1
N
N
N
Tandem Diabetes Care Inc
549300JEPFOD0K4D3I05
Tandem Diabetes Care Inc
875372203
1077.00000000
NS
USD
43876.98000000
0.742954442819
Long
EC
CORP
US
N
1
N
N
N
Comfort Systems USA Inc
5299009DT1ZA5HTU6R38
Comfort Systems USA Inc
199908104
705.00000000
NS
USD
85333.20000000
1.444918954312
Long
EC
CORP
US
N
1
N
N
N
Apellis Pharmaceuticals Inc
254900HS0ZFRXXSB9D42
Apellis Pharmaceuticals Inc
03753U106
301.00000000
NS
USD
15871.73000000
0.268750773611
Long
EC
CORP
US
N
1
N
N
N
Encompass Health Corp
549300FVRPM9DRQZRG64
Encompass Health Corp
29261A100
1278.00000000
NS
USD
79811.10000000
1.351415054803
Long
EC
CORP
US
N
1
N
N
N
Preferred Bank/Los Angeles CA
5493007K6HGI9G0ECX16
Preferred Bank/Los Angeles CA
740367404
846.00000000
NS
USD
60175.98000000
1.018940038535
Long
EC
CORP
US
N
1
N
N
N
Workiva Inc
529900RTOQ8GRWHY1O58
Workiva Inc
98139A105
997.00000000
NS
USD
86270.41000000
1.460788422388
Long
EC
CORP
US
N
1
N
N
N
Black Hills Corp
3MGELCRSTNSAMJ962671
Black Hills Corp
092113109
1448.00000000
NS
USD
104806.24000000
1.774649523353
Long
EC
CORP
US
N
1
N
N
N
TTM Technologies Inc
549300SC4BDOIS008048
TTM Technologies Inc
87305R109
4081.00000000
NS
USD
64153.32000000
1.086287026035
Long
EC
CORP
US
N
1
N
N
N
ICF International Inc
5493003KYFDDC5B3WY64
ICF International Inc
44925C103
656.00000000
NS
USD
67036.64000000
1.135109333406
Long
EC
CORP
US
N
1
N
N
N
Arcosa Inc
549300WFHLTCZV7D6V29
Arcosa Inc
039653100
1314.00000000
NS
USD
77880.78000000
1.318729582374
Long
EC
CORP
US
N
1
N
N
N
Intellia Therapeutics Inc
5493002T5BCPE5DZC723
Intellia Therapeutics Inc
45826J105
377.00000000
NS
USD
15999.88000000
0.270920695329
Long
EC
CORP
US
N
1
N
N
N
IVERIC bio Inc
549300GZXI59U71XPM70
IVERIC bio Inc
46583P102
751.00000000
NS
USD
17348.10000000
0.293749660288
Long
EC
CORP
US
N
1
N
N
N
Halozyme Therapeutics Inc
529900242I3SV9AGM753
Halozyme Therapeutics Inc
40637H109
925.00000000
NS
USD
47887.25000000
0.810859023157
Long
EC
CORP
US
N
1
N
N
N
CyberArk Software Ltd
529900YEXNDM894PWS93
CyberArk Software Ltd
M2682V108
428.00000000
NS
USD
60296.64000000
1.020983134552
Long
EC
CORP
US
N
1
N
N
N
Silgan Holdings Inc
KAF673KJXD92C8KSLU49
Silgan Holdings Inc
827048109
1544.00000000
NS
USD
83206.16000000
1.408902486952
Long
EC
CORP
US
N
1
N
N
N
Ollie's Bargain Outlet Holdings Inc
529900YO5DSQCPEFDZ05
Ollie's Bargain Outlet Holdings Inc
681116109
1456.00000000
NS
USD
79730.56000000
1.350051297525
Long
EC
CORP
US
N
1
N
N
N
Kirby Corp
I7NO6FZO5GUCG585T325
Kirby Corp
497266106
1308.00000000
NS
USD
92580.24000000
1.567630694393
Long
EC
CORP
US
N
1
N
N
N
BellRing Brands Inc
549300S3BOK5CMTS8054
BellRing Brands Inc
07831C103
3897.00000000
NS
USD
110518.92000000
1.871380451198
Long
EC
CORP
US
N
1
N
N
N
Intra-Cellular Therapies Inc
5299002U2KGF193IJA20
Intra-Cellular Therapies Inc
46116X101
329.00000000
NS
USD
15765.68000000
0.266955063909
Long
EC
CORP
US
N
1
N
N
N
Piper Sandler Cos
QUQDBTUSOAKFEVMRMF78
Piper Sandler Cos
724078100
557.00000000
NS
USD
79149.70000000
1.340215786565
Long
EC
CORP
US
N
1
N
N
N
AtriCure Inc
N/A
AtriCure Inc
04963C209
1379.00000000
NS
USD
59683.12000000
1.010594602575
Long
EC
CORP
US
N
1
N
N
N
Lattice Semiconductor Corp
549300LRBBPZDQ2II567
Lattice Semiconductor Corp
518415104
837.00000000
NS
USD
63436.23000000
1.074144777380
Long
EC
CORP
US
N
1
N
N
N
STAG Industrial Inc
549300QWYX2W6FASVQ07
STAG Industrial Inc
85254J102
2110.00000000
NS
USD
75116.00000000
1.271914473758
Long
EC
CORP
US
N
1
N
N
N
Texas Roadhouse Inc
5299002Y1CNRPDGXTQ75
Texas Roadhouse Inc
882681109
977.00000000
NS
USD
98120.11000000
1.661435487456
Long
EC
CORP
US
N
1
N
N
N
Children's Place Inc/The
549300BGVK2OO5O7TC19
Children's Place Inc/The
168905107
844.00000000
NS
USD
38292.28000000
0.648390558139
Long
EC
CORP
US
N
1
N
N
N
SouthState Corp
549300JZUANXM0YQ4W53
SouthState Corp
840441109
728.00000000
NS
USD
57948.80000000
0.981227933555
Long
EC
CORP
US
N
1
N
N
N
Wintrust Financial Corp
Q774KI4AW80FHFW33O61
Wintrust Financial Corp
97650W108
1286.00000000
NS
USD
117630.42000000
1.991797137125
Long
EC
CORP
US
N
1
N
N
N
Impinj Inc
549300M26VGKSMMWWN17
Impinj Inc
453204109
551.00000000
NS
USD
71508.78000000
1.210834606246
Long
EC
CORP
US
N
1
N
N
N
Prestige Consumer Healthcare Inc
N/A
Prestige Consumer Healthcare Inc
74112D101
1147.00000000
NS
USD
75426.72000000
1.277175793122
Long
EC
CORP
US
N
1
N
N
N
Banner Corp
N/A
Banner Corp
06652V208
1635.00000000
NS
USD
105997.05000000
1.794813116656
Long
EC
CORP
US
N
1
N
N
N
Lithium Americas Corp
529900Q9ENG7EHHZ5R75
Lithium Americas Corp
53680Q207
3309.00000000
NS
USD
83486.07000000
1.413642110738
Long
EC
CORP
US
N
1
N
N
SPDR S&P Biotech ETF
549300Y3ODFMPD5XXL58
SPDR S&P Biotech ETF
78464A870
763.00000000
NS
USD
67830.70000000
1.148554889706
Long
EC
RF
US
N
1
N
N
ASGN Inc
LZBNYYCBUKY537072438
ASGN Inc
00191U102
841.00000000
NS
USD
76488.95000000
1.295162183657
Long
EC
CORP
US
N
1
N
N
N
Silicon Laboratories Inc
4PRDF8Q9TDHRVZKZSZ47
Silicon Laboratories Inc
826919102
445.00000000
NS
USD
69824.95000000
1.182322867757
Long
EC
CORP
US
N
1
N
N
N
Bloom Energy Corp
549300XB5J9BFW5JXV97
Bloom Energy Corp
093712107
3833.00000000
NS
USD
95556.69000000
1.618029941363
Long
EC
CORP
US
N
1
N
N
N
Summit Hotel Properties Inc
254900OBQWJK6X20LS71
Summit Hotel Properties Inc
866082100
6891.00000000
NS
USD
58711.32000000
0.994139433429
Long
EC
CORP
US
N
1
N
N
N
Option Care Health Inc
549300DI3Q5ACSYJRI17
Option Care Health Inc
68404L201
2547.00000000
NS
USD
73531.89000000
1.245091261167
Long
EC
CORP
US
N
1
N
N
N
Masonite International Corp
549300H0H07ZFT4JYM32
Masonite International Corp
575385109
722.00000000
NS
USD
65860.84000000
1.115199899487
Long
EC
CORP
US
N
1
N
N
N
Home BancShares Inc/AR
N/A
Home BancShares Inc/AR
436893200
3574.00000000
NS
USD
85311.38000000
1.444549483443
Long
EC
CORP
US
N
1
N
N
N
MGP Ingredients Inc
2549006OMHFVZ4MS8538
MGP Ingredients Inc
55303J106
805.00000000
NS
USD
78519.70000000
1.329548204180
Long
EC
CORP
US
N
1
N
N
N
Veritex Holdings Inc
549300F3SMOML02SC814
Veritex Holdings Inc
923451108
2033.00000000
NS
USD
57228.95000000
0.969038950729
Long
EC
CORP
US
N
1
N
N
N
Progyny Inc
N/A
Progyny Inc
74340E103
1738.00000000
NS
USD
59769.82000000
1.012062665104
Long
EC
CORP
US
N
1
N
N
N
Tenet Healthcare Corp
0W9AIBT6U6ADJ2I8HK17
Tenet Healthcare Corp
88033G407
1283.00000000
NS
USD
70372.55000000
1.191595198097
Long
EC
CORP
US
N
1
N
N
N
EnPro Industries Inc
549300Y5CFT2LKCFDN54
EnPro Industries Inc
29355X107
817.00000000
NS
USD
98914.19000000
1.674881382410
Long
EC
CORP
US
N
1
N
N
N
Ventyx Biosciences Inc
N/A
Ventyx Biosciences Inc
92332V107
493.00000000
NS
USD
20706.00000000
0.350607874402
Long
EC
CORP
US
N
1
N
N
N
PowerSchool Holdings Inc
N/A
PowerSchool Holdings Inc
73939C106
3283.00000000
NS
USD
73933.16000000
1.251885833840
Long
EC
CORP
US
N
1
N
N
N
CommVault Systems Inc
65T5VRP62VXG39YFML83
CommVault Systems Inc
204166102
1143.00000000
NS
USD
71128.89000000
1.204402054068
Long
EC
CORP
US
N
1
N
N
N
Magnite Inc
54930018FR2YX1HHSB02
Magnite Inc
55955D100
6097.00000000
NS
USD
73651.76000000
1.247120980374
Long
EC
CORP
US
N
1
N
N
N
Everi Holdings Inc
5299006DK5S7BG10K532
Everi Holdings Inc
30034T103
3738.00000000
NS
USD
64929.06000000
1.099422375812
Long
EC
CORP
US
N
1
N
N
N
2023-01-31
Nushares ETF Trust
E. Scott Wickerham
E. Scott Wickerham
Vice President and Funds Controller
XXXX
NPORT-EX
2
tiaa_NSCS.htm
Nuveen
Dividend
Growth
ETF
(NDVG)
Portfolio
of
Investments
January
31,
2023
(Unaudited)
Shares
Description
(1)
Value
LONG-TERM
INVESTMENTS
-
99.2%
X
7,724,719
COMMON
STOCKS
-
99.2%
X
7,724,719
Aerospace
&
Defense
-
1.3%
228
Northrop
Grumman
Corp
$
102,153
Total
Aerospace
&
Defense
102,153
Banks
-
2.8%
1,579
JPMorgan
Chase
&
Co
220,997
Total
Banks
220,997
Beverages
-
1.9%
873
PepsiCo
Inc
149,301
Total
Beverages
149,301
Biotechnology
-
2.5%
1,339
AbbVie
Inc
197,837
Total
Biotechnology
197,837
Building
Products
-
2.1%
928
Trane
Technologies
PLC
166,223
Total
Building
Products
166,223
Capital
Markets
-
3.1%
3,089
Charles
Schwab
Corp
239,150
Total
Capital
Markets
239,150
Chemicals
-
4.5%
1,110
International
Flavors
&
Fragrances
Inc
124,831
674
Linde
PLC
223,053
Total
Chemicals
347,884
Communications
Equipment
-
5.0%
3,036
Cisco
Systems
Inc
147,762
952
Motorola
Solutions
Inc
244,674
Total
Communications
Equipment
392,436
Consumer
Finance
-
2.5%
1,102
American
Express
Co
192,773
Total
Consumer
Finance
192,773
Containers
&
Packaging
-
1.3%
709
Packaging
Corp
of
America
101,174
Total
Containers
&
Packaging
101,174
Electric
Utilities
-
2.5%
2,584
NextEra
Energy
Inc
192,844
Total
Electric
Utilities
192,844
Electrical
Equipment
-
2.2%
1,052
Eaton
Corp
PLC
170,645
Total
Electrical
Equipment
170,645
Equity
Real
Estate
Investment
Trusts
(REITs)
-
2.9%
1,749
Prologis
Inc
226,111
Total
Equity
Real
Estate
Investment
Trusts
(REITs)
226,111
Nuveen
Dividend
Growth
ETF
(NDVG)
(continued)
Portfolio
of
Investments
January
31,
2023
(Unaudited)
Shares
Description
(1)
Value
Food
&
Staples
Retailing
-
1.9%
1,026
Walmart
Inc
$
147,611
Total
Food
&
Staples
Retailing
147,611
Food
Products
-
1.8%
2,200
Mondelez
International
Inc,
Class
A
143,968
Total
Food
Products
143,968
Health
Care
Equipment
&
Supplies
-
1.7%
1,204
Abbott
Laboratories
133,102
Total
Health
Care
Equipment
&
Supplies
133,102
Health
Care
Providers
&
Services
-
5.9%
342
Elevance
Health
Inc
170,997
576
UnitedHealth
Group
Inc
287,533
Total
Health
Care
Providers
&
Services
458,530
Hotels,
Restaurants
&
Leisure
-
1.5%
445
McDonald's
Corp
118,993
Total
Hotels,
Restaurants
&
Leisure
118,993
Industrial
Conglomerates
-
2.2%
812
Honeywell
International
Inc
169,286
Total
Industrial
Conglomerates
169,286
Insurance
-
4.5%
735
Chubb
Ltd
167,205
1,055
Marsh
&
McLennan
Cos
Inc
184,530
Total
Insurance
351,735
IT
Services
-
7.3%
835
Accenture
PLC,
Class
A
233,007
1,713
Fidelity
National
Information
Services
Inc
128,543
548
Mastercard
Inc.,
Class
A
203,089
Total
IT
Services
564,639
Media
-
2.4%
4,841
Comcast
Corp,
Class
A
190,493
Total
Media
190,493
Multiline
Retail
-
1.9%
647
Dollar
General
Corp
151,139
Total
Multiline
Retail
151,139
Multi-Utilities
-
2.4%
2,025
WEC
Energy
Group
Inc
190,330
Total
Multi-Utilities
190,330
Oil,
Gas
&
Consumable
Fuels
-
4.5%
1,195
Chevron
Corp
207,954
1,382
Phillips
66
138,573
Total
Oil,
Gas
&
Consumable
Fuels
346,527
Road
&
Rail
-
2.1%
803
Union
Pacific
Corp
163,965
Total
Road
&
Rail
163,965
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
–
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
–
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
–
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Shares
Description
(1)
Value
Semiconductors
&
Semiconductor
Equipment
-
5.9%
432
Broadcom
Inc
$
252,724
1,147
Texas
Instruments
Inc
203,260
Total
Semiconductors
&
Semiconductor
Equipment
455,984
Software
-
5.3%
1,664
Microsoft
Corp
412,356
Total
Software
412,356
Specialty
Retail
-
5.0%
946
Lowe's
Cos
Inc
197,004
2,303
TJX
Cos
Inc
188,524
Total
Specialty
Retail
385,528
Technology
Hardware,
Storage
&
Peripherals
-
6.3%
3,374
Apple
Inc
486,834
Total
Technology
Hardware,
Storage
&
Peripherals
486,834
Tobacco
-
2.0%
1,479
Philip
Morris
International
Inc
154,171
Total
Tobacco
154,171
Total
Long-Term
Investments
(cost
$7,687,655)
7,724,719
Other
Assets
&
Liabilities,
Net
-
0.8%
63,355
Net
Assets
-
100%
$
7,788,074
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Common
Stocks
$
7,724,719
$
–
$
–
$
7,724,719
Total
$
7,724,719
$
–
$
–
$
7,724,719
For
Fund
portfolio
compliance
purposes,
the
Fund’s
industry
classifications
refer
to
any
one
or
more
of
the
industry
sub-classifications
used
by
one
or
more
widely
recognized
market
indexes
or
ratings
group
indexes,
and/or
as
defined
by
Fund
management.
This
definition
may
not
apply
for
purposes
of
this
report,
which
may
combine
industry
sub-classifications
into
sectors
for
reporting
ease.
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
Nuveen
Growth
Opportunities
ETF
(NUGO)
Portfolio
of
Investments
January
31,
2023
(Unaudited)
Shares
Description
(1)
Value
LONG-TERM
INVESTMENTS
-
98.3%
X
2,213,649,795
COMMON
STOCKS
-
98.3%
X
2,213,649,795
Aerospace
&
Defense
-
2.4%
72,348
Boeing
Co/The
(2)
$
15,410,124
389,324
Raytheon
Technologies
Corp
38,874,001
Total
Aerospace
&
Defense
54,284,125
Automobiles
-
1.6%
208,654
Tesla
Inc
(2)
36,143,046
Total
Automobiles
36,143,046
Beverages
-
1.3%
278,665
Monster
Beverage
Corp
(2)
29,003,453
Total
Beverages
29,003,453
Biotechnology
-
0.9%
193,481
Horizon
Therapeutics
Plc
(2)
21,228,735
Total
Biotechnology
21,228,735
Building
Products
-
1.3%
629,074
Carrier
Global
Corp
28,641,739
Total
Building
Products
28,641,739
Capital
Markets
-
1.3%
389,704
Charles
Schwab
Corp
30,170,884
Total
Capital
Markets
30,170,884
Chemicals
-
3.1%
602,353
Corteva
Inc
38,821,651
60,942
Linde
PLC
20,168,145
44,586
Sherwin-Williams
Co/The
10,548,602
Total
Chemicals
69,538,398
Communications
Equipment
-
1.3%
240,517
Arista
Networks
Inc
(2)
30,309,952
Total
Communications
Equipment
30,309,952
Equity
Real
Estate
Investment
Trusts
(REITs)
-
0.9%
85,575
American
Tower
Corp
19,116,599
Total
Equity
Real
Estate
Investment
Trusts
(REITs)
19,116,599
Food
&
Staples
Retailing
-
2.5%
112,086
Costco
Wholesale
Corp
57,291,638
Total
Food
&
Staples
Retailing
57,291,638
Health
Care
Equipment
&
Supplies
-
2.8%
393,084
Dexcom
Inc
(2)
42,095,366
89,174
Intuitive
Surgical
Inc
(2)
21,909,160
Total
Health
Care
Equipment
&
Supplies
64,004,526
Health
Care
Providers
&
Services
-
3.9%
81,524
Elevance
Health
Inc
40,761,185
93,424
UnitedHealth
Group
Inc
46,636,326
Total
Health
Care
Providers
&
Services
87,397,511
Shares
Description
(1)
Value
Health
Care
Technology
-
1.1%
140,357
Veeva
Systems
Inc,
Class
A
(2)
$
23,937,886
Total
Health
Care
Technology
23,937,886
Hotels,
Restaurants
&
Leisure
-
3.8%
8,798
Booking
Holdings
Inc
(2)
21,415,212
8,052
Chipotle
Mexican
Grill
Inc
(2)
13,256,652
873,472
Las
Vegas
Sands
Corp
(2)
51,534,848
Total
Hotels,
Restaurants
&
Leisure
86,206,712
Interactive
Media
&
Services
-
5.4%
942,017
Alphabet
Inc,
Class
A
(2)
93,108,961
163,061
Meta
Platforms
Inc
(2)
24,291,197
121,083
ZoomInfo
Technologies
Inc
(2)
3,418,173
Total
Interactive
Media
&
Services
120,818,331
Internet
&
Direct
Marketing
Retail
-
5.8%
185,249
Alibaba
Group
Holding
Ltd,
Sponsored
ADR
(2)
20,414,440
1,058,683
Amazon.com
Inc
(2)
109,181,978
Total
Internet
&
Direct
Marketing
Retail
129,596,418
IT
Services
-
7.7%
63,271
EPAM
Systems
Inc
(2)
21,047,098
389,825
Mastercard
Inc.,
Class
A
144,469,145
34,880
Visa
Inc,
Class
A
8,029,725
Total
IT
Services
173,545,968
Machinery
-
1.0%
55,352
Deere
&
Co
23,405,040
Total
Machinery
23,405,040
Oil,
Gas
&
Consumable
Fuels
-
3.8%
177,826
ConocoPhillips
21,671,655
483,866
EOG
Resources
Inc
63,991,278
Total
Oil,
Gas
&
Consumable
Fuels
85,662,933
Personal
Products
-
1.0%
82,754
Estee
Lauder
Cos
Inc/The,
Class
A
22,929,478
Total
Personal
Products
22,929,478
Pharmaceuticals
-
7.1%
588,387
AstraZeneca
PLC,
Sponsored
ADR
38,462,858
147,203
Bristol-Myers
Squibb
Co
10,694,298
190,530
Eli
Lilly
&
Co
65,570,899
131,952
Novo
Nordisk
A/S,
Sponsored
ADR
18,312,299
161,067
Zoetis
Inc
26,654,978
Total
Pharmaceuticals
159,695,332
Road
&
Rail
-
1.2%
135,361
Union
Pacific
Corp
27,639,363
Total
Road
&
Rail
27,639,363
Semiconductors
&
Semiconductor
Equipment
-
7.8%
81,521
Broadcom
Inc
47,690,600
61,891
Lam
Research
Corp
30,951,689
63,588
Monolithic
Power
Systems
Inc
27,124,098
357,251
NVIDIA
Corp
69,796,128
Total
Semiconductors
&
Semiconductor
Equipment
175,562,515
Nuveen
Growth
Opportunities
ETF
(NUGO)
(continued)
Portfolio
of
Investments
January
31,
2023
(Unaudited)
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
–
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
–
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
–
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Shares
Description
(1)
Value
Software
-
18.4%
640
Atlassian
Corp
Ltd,
Class
A
(2)
$
103,437
44,229
Atlassian
Corp
PLC,
Class
A
(2)
7,148,291
54,646
Crowdstrike
Holdings
Inc,
Class
A
(2)
5,787,011
62,493
Intuit
Inc
26,413,916
1,017,264
Microsoft
Corp
252,088,192
256,981
Palo
Alto
Networks
Inc
(2)
40,767,466
40,493
Salesforce
Inc
(2)
6,801,609
66,885
ServiceNow
Inc
(2)
30,441,370
95,400
Synopsys
Inc
(2)
33,747,750
84,962
Zscaler
Inc
(2)
10,548,882
Total
Software
413,847,924
Specialty
Retail
-
1.1%
103,744
Burlington
Stores
Inc
(2)
23,843,484
Total
Specialty
Retail
23,843,484
Technology
Hardware,
Storage
&
Peripherals
-
8.6%
1,342,570
Apple
Inc
193,719,425
Total
Technology
Hardware,
Storage
&
Peripherals
193,719,425
Textiles,
Apparel
&
Luxury
Goods
-
1.2%
205,045
NIKE
Inc,
Class
B
26,108,380
Total
Textiles,
Apparel
&
Luxury
Goods
26,108,380
Total
Long-Term
Investments
(cost
$2,499,170,283)
2,213,649,795
Other
Assets
&
Liabilities,
Net
-
1.7%
38,335,721
Net
Assets
-
100%
$
2,251,985,516
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Common
Stocks
$
2,213,649,795
$
–
$
–
$
2,213,649,795
Total
$
2,213,649,795
$
–
$
–
$
2,213,649,795
For
Fund
portfolio
compliance
purposes,
the
Fund’s
industry
classifications
refer
to
any
one
or
more
of
the
industry
sub-classifications
used
by
one
or
more
widely
recognized
market
indexes
or
ratings
group
indexes,
and/or
as
defined
by
Fund
management.
This
definition
may
not
apply
for
purposes
of
this
report,
which
may
combine
industry
sub-classifications
into
sectors
for
reporting
ease.
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
Non-income
producing;
issuer
has
not
declared
an
ex-dividend
date
within
the
past
twelve
months.
ADR
American
Depositary
Receipt
Nuveen
Small
Cap
Select
ETF
(NSCS)
Portfolio
of
Investments
January
31,
2023
(Unaudited)
Shares
Description
(1)
Value
LONG-TERM
INVESTMENTS
-
98.5%
X
5,751,378
COMMON
STOCKS
-
97.4%
X
5,751,378
Aerospace
&
Defense
-
1.2%
6,251
Kratos
Defense
&
Security
Solutions
Inc
(2)
$
71,574
Total
Aerospace
&
Defense
71,574
Auto
Components
-
1.2%
4,066
Dana
Inc
73,757
Total
Auto
Components
73,757
Banks
-
9.4%
1,635
Banner
Corp
105,997
3,574
Home
BancShares
Inc/AR
85,311
767
Pinnacle
Financial
Partners
Inc
60,386
846
Preferred
Bank/Los
Angeles
CA
60,176
895
SouthState
Corp
71,242
2,033
Veritex
Holdings
Inc
57,229
1,286
Wintrust
Financial
Corp
117,631
Total
Banks
557,972
Beverages
-
2.3%
805
MGP
Ingredients
Inc
78,519
3,652
Primo
Water
Corp
57,154
Total
Beverages
135,673
Biotechnology
-
2.5%
301
Apellis
Pharmaceuticals
Inc
(2)
15,872
375
Cytokinetics
Inc
(2)
15,930
925
Halozyme
Therapeutics
Inc
(2)
47,887
377
Intellia
Therapeutics
Inc
(2)
16,000
751
IVERIC
bio
Inc
(2)
17,348
91
Karuna
Therapeutics
Inc
(2)
18,145
131
Prometheus
Biosciences
Inc
(2)
14,889
Total
Biotechnology
146,071
Building
Products
-
1.1%
722
Masonite
International
Corp
(2)
65,861
Total
Building
Products
65,861
Capital
Markets
-
2.9%
699
Evercore
Inc
90,737
557
Piper
Sandler
Cos
79,150
Total
Capital
Markets
169,887
Chemicals
-
1.3%
1,934
Avient
Corp
78,366
Total
Chemicals
78,366
Construction
&
Engineering
-
3.8%
1,314
Arcosa
Inc
77,881
705
Comfort
Systems
USA
Inc
85,333
604
MYR
Group
Inc
(2)
59,832
Total
Construction
&
Engineering
223,046
Shares
Description
(1)
Value
Construction
Materials
-
1.5%
2,688
Summit
Materials
Inc,
Class
A
(2)
$
88,328
Total
Construction
Materials
88,328
Containers
&
Packaging
-
1.4%
1,544
Silgan
Holdings
Inc
83,206
Total
Containers
&
Packaging
83,206
Diversified
Consumer
Services
-
1.3%
3,283
PowerSchool
Holdings
Inc,
Class
A
(2)
73,933
Total
Diversified
Consumer
Services
73,933
Electrical
Equipment
-
1.6%
3,833
Bloom
Energy
Corp,
Class
A
(2)
95,557
Total
Electrical
Equipment
95,557
Electronic
Equipment,
Instruments
&
Components
-
1.1%
4,081
TTM
Technologies
Inc
(2)
64,153
Total
Electronic
Equipment,
Instruments
&
Components
64,153
Equity
Real
Estate
Investment
Trusts
(REITs)
-
4.0%
2,002
Brandywine
Realty
Trust
13,133
501
EastGroup
Properties
Inc
84,293
2,275
STAG
Industrial
Inc
80,990
6,891
Summit
Hotel
Properties
Inc
58,712
Total
Equity
Real
Estate
Investment
Trusts
(REITs)
237,128
Gas
Utilities
-
1.3%
1,069
Spire
Inc
77,203
Total
Gas
Utilities
77,203
Health
Care
Equipment
&
Supplies
-
3.8%
1,379
AtriCure
Inc
(2)
59,683
1,143
Axonics
Inc
(2)
70,180
718
Establishment
Labs
Holdings
Inc
(2),(3)
48,853
1,077
Tandem
Diabetes
Care
Inc
(2)
43,877
Total
Health
Care
Equipment
&
Supplies
222,593
Health
Care
Providers
&
Services
-
7.0%
1,278
Encompass
Health
Corp
79,811
1,268
HealthEquity
Inc
(2)
77,158
2,547
Option
Care
Health
Inc
(2)
73,532
1,738
Progyny
Inc
(2)
59,770
1,920
Select
Medical
Holdings
Corp
55,814
1,283
Tenet
Healthcare
Corp
(2)
70,372
Total
Health
Care
Providers
&
Services
416,457
Hotels,
Restaurants
&
Leisure
-
2.8%
3,738
Everi
Holdings
Inc
(2)
64,929
977
Texas
Roadhouse
Inc
98,120
Total
Hotels,
Restaurants
&
Leisure
163,049
Insurance
-
1.3%
477
Primerica
Inc
77,155
Total
Insurance
77,155
Interactive
Media
&
Services
-
1.3%
826
Ziff
Davis
Inc
(2)
73,910
Total
Interactive
Media
&
Services
73,910
Nuveen
Small
Cap
Select
ETF
(NSCS)
(continued)
Portfolio
of
Investments
January
31,
2023
(Unaudited)
Shares
Description
(1)
Value
IT
Services
-
1.1%
4,090
Verra
Mobility
Corp
(2)
$
63,109
Total
IT
Services
63,109
Leisure
Products
-
1.4%
3,375
Topgolf
Callaway
Brands
Corp
(2)
82,654
Total
Leisure
Products
82,654
Machinery
-
4.5%
817
EnPro
Industries
Inc
98,914
747
ESCO
Technologies
Inc
73,535
1,231
SPX
Technologies
Inc
(2)
92,337
Total
Machinery
264,786
Marine
-
1.6%
1,308
Kirby
Corp
(2)
92,580
Total
Marine
92,580
Media
-
1.2%
6,097
Magnite
Inc
(2)
73,652
Total
Media
73,652
Metals
&
Mining
-
1.4%
3,309
Lithium
Americas
Corp
(2),(3)
83,486
Total
Metals
&
Mining
83,486
Mortgage
Real
Estate
Investment
Trusts
(REITs)
-
1.0%
5,505
Ladder
Capital
Corp
61,656
Total
Mortgage
Real
Estate
Investment
Trusts
(REITs)
61,656
Multiline
Retail
-
1.3%
1,456
Ollie's
Bargain
Outlet
Holdings
Inc
(2)
79,731
Total
Multiline
Retail
79,731
Multi-Utilities
-
1.8%
1,448
Black
Hills
Corp
104,806
Total
Multi-Utilities
104,806
Oil,
Gas
&
Consumable
Fuels
-
7.0%
2,534
Delek
US
Holdings
Inc
67,810
1,741
Matador
Resources
Co
115,184
3,400
Northern
Oil
and
Gas
Inc
113,968
2,564
Peabody
Energy
Corp
(2)
71,510
4,256
Permian
Resources
Corp
46,263
Total
Oil,
Gas
&
Consumable
Fuels
414,735
Personal
Products
-
1.9%
3,897
BellRing
Brands
Inc
(2)
110,519
Total
Personal
Products
110,519
Pharmaceuticals
-
2.1%
507
Amylyx
Pharmaceuticals
Inc
(2)
19,869
329
Intra-Cellular
Therapies
Inc
(2)
15,766
987
Prestige
Consumer
Healthcare
Inc
(2)
64,905
493
Ventyx
Biosciences
Inc
(2)
20,706
Total
Pharmaceuticals
121,246
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Shares
Description
(1)
Value
Professional
Services
-
2.4%
841
ASGN
Inc
(2)
$
76,489
656
ICF
International
Inc
67,037
Total
Professional
Services
143,526
Semiconductors
&
Semiconductor
Equipment
-
4.6%
551
Impinj
Inc
(2)
71,509
837
Lattice
Semiconductor
Corp
(2)
63,436
976
MACOM
Technology
Solutions
Holdings
Inc
(2)
65,411
445
Silicon
Laboratories
Inc
(2)
69,825
Total
Semiconductors
&
Semiconductor
Equipment
270,181
Software
-
5.1%
1,143
CommVault
Systems
Inc
(2)
71,129
428
CyberArk
Software
Ltd
(2)
60,297
1,271
Sprout
Social
Inc,
Class
A
(2)
81,306
997
Workiva
Inc
(2)
86,270
Total
Software
299,002
Specialty
Retail
-
2.2%
1,104
Boot
Barn
Holdings
Inc
(2)
92,173
844
Children's
Place
Inc/The
(2)
38,292
Total
Specialty
Retail
130,465
Textiles,
Apparel
&
Luxury
Goods
-
1.4%
2,376
Steven
Madden
Ltd
85,180
Total
Textiles,
Apparel
&
Luxury
Goods
85,180
Trading
Companies
&
Distributors
-
1.3%
525
Applied
Industrial
Technologies
Inc
75,185
Total
Trading
Companies
&
Distributors
75,185
Total
Common
Stocks
(cost
$5,456,495)
5,751,378
Shares
Description
(1)
Value
X
67,831
EXCHANGE-TRADED
FUNDS
-
1.1%
X
67,831
763
SPDR
S&P
Biotech
ETF
(2),(3)
$
67,831
Total
Exchange-Traded
Funds
(cost
$62,145)
67,831
Total
Long-Term
Investments
(cost
$5,518,640)
5,819,209
Shares
Description
(1)
Coupon
Value
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
2.5%
144,022
MONEY
MARKET
FUNDS
-
2.5%
X
144,022
144,022
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
(4)
4.350%(5)
$
144,022
Total
Investments
Purchased
with
Collateral
from
Securities
Lending
(cost
$144,022)
$
144,022
Total
Investments
(cost
$
5,662,662
)
-
101
.0
%
5,963,231
Other
Assets
&
Liabilities,
Net
-
(1.0)%
(
56,762
)
Net
Assets
-
100%
$
5,906,469
Nuveen
Small
Cap
Select
ETF
(NSCS)
(continued)
Portfolio
of
Investments
January
31,
2023
(Unaudited)
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
–
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
–
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
–
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Common
Stocks
$
5,751,378
$
–
$
–
$
5,751,378
Exchange-Traded
Funds
67,831
–
–
67,831
Investments
Purchased
with
Collateral
from
Securities
Lending
144,022
–
–
144,022
Total
$
5,963,231
$
–
$
–
$
5,963,231
For
Fund
portfolio
compliance
purposes,
the
Fund’s
industry
classifications
refer
to
any
one
or
more
of
the
industry
sub-classifications
used
by
one
or
more
widely
recognized
market
indexes
or
ratings
group
indexes,
and/or
as
defined
by
Fund
management.
This
definition
may
not
apply
for
purposes
of
this
report,
which
may
combine
industry
sub-classifications
into
sectors
for
reporting
ease.
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
Non-income
producing;
issuer
has
not
declared
an
ex-dividend
date
within
the
past
twelve
months.
(3)
Investment,
or
a
portion
of
investment,
is
out
on
loan
for
securities
lending.
The
total
value
of
the
securities
out
on
loan
as
of
the
end
of
the
reporting
period
was
$150,052.
(4)
The
Fund
may
loan
securities
representing
up
to
one
third
of
the
market
value
of
its
total
assets
(which
includes
collateral
for
securities
on
loan)
to
broker
dealers,
banks,
and
other
institutions.
The
collateral
maintained
by
the
Fund
shall
have
a
market
value,
at
the
inception
of
each
loan,
equal
to
not
less
than
100%
of
the
market
value
of
the
loaned
securities.
The
cash
collateral
received
by
the
Fund
is
invested
in
this
money
market
fund.
(5)
The
rate
shown
is
the
one-day
yield
as
of
the
end
of
the
reporting
period.
ETF
Exchange-Traded
Fund
S&P
Standard
&
Poor's
SPDR
Standard
&
Poor's
Depositary
Receipt
Nuveen
Winslow
Large-Cap
Growth
ESG
ETF
(NWLG)
Portfolio
of
Investments
January
31,
2023
(Unaudited)
Shares
Description
(1)
Value
LONG-TERM
INVESTMENTS
-
99.3%
X
4,865,992
COMMON
STOCKS
-
99.3%
X
4,865,992
Auto
Components
-
1.0%
450
Aptiv
PLC
(2)
$
50,890
Total
Auto
Components
50,890
Capital
Markets
-
5.1%
311
Moody's
Corp
100,375
694
Morgan
Stanley
67,547
158
MSCI
Inc
83,987
Total
Capital
Markets
251,909
Chemicals
-
2.6%
382
Linde
PLC
126,419
Total
Chemicals
126,419
Food
&
Staples
Retailing
-
3.2%
302
Costco
Wholesale
Corp
154,364
Total
Food
&
Staples
Retailing
154,364
Health
Care
Equipment
&
Supplies
-
4.7%
197
IDEXX
Laboratories
Inc
(2)
94,659
547
Intuitive
Surgical
Inc
(2)
134,392
Total
Health
Care
Equipment
&
Supplies
229,051
Health
Care
Providers
&
Services
-
4.1%
404
UnitedHealth
Group
Inc
201,673
Total
Health
Care
Providers
&
Services
201,673
Health
Care
Technology
-
1.7%
495
Veeva
Systems
Inc,
Class
A
(2)
84,422
Total
Health
Care
Technology
84,422
Hotels,
Restaurants
&
Leisure
-
7.5%
86
Chipotle
Mexican
Grill
Inc
(2)
141,589
860
Hilton
Worldwide
Holdings
Inc
124,777
926
Starbucks
Corp
101,064
Total
Hotels,
Restaurants
&
Leisure
367,430
Interactive
Media
&
Services
-
3.7%
954
Alphabet
Inc,
Class
A
(2)
94,293
870
Alphabet
Inc,
Class
C
(2)
86,887
Total
Interactive
Media
&
Services
181,180
IT
Services
-
11.1%
255
Accenture
PLC,
Class
A
71,158
234
Gartner
Inc
(2)
79,125
490
Mastercard
Inc.,
Class
A
181,594
922
Visa
Inc,
Class
A
212,253
Total
IT
Services
544,130
Nuveen
Winslow
Large-Cap
Growth
ESG
ETF
(NWLG)
(continued)
Portfolio
of
Investments
January
31,
2023
(Unaudited)
Shares
Description
(1)
Value
Life
Sciences
Tools
&
Services
-
7.0%
944
Agilent
Technologies
Inc
$
143,564
406
Danaher
Corp
107,338
408
IQVIA
Holdings
Inc
(2)
93,599
Total
Life
Sciences
Tools
&
Services
344,501
Machinery
-
2.9%
255
Deere
&
Co
107,824
7,109
Proterra
Inc
(2),(3)
36,256
Total
Machinery
144,080
Multiline
Retail
-
2.0%
649
Dollar
Tree
Inc
(2)
97,467
Total
Multiline
Retail
97,467
Personal
Products
-
1.6%
279
Estee
Lauder
Cos
Inc/The,
Class
A
77,305
Total
Personal
Products
77,305
Pharmaceuticals
-
3.3%
1,141
AstraZeneca
PLC,
Sponsored
ADR
74,587
527
Zoetis
Inc
87,213
Total
Pharmaceuticals
161,800
Road
&
Rail
-
2.6%
4,028
CSX
Corp
124,546
Total
Road
&
Rail
124,546
Semiconductors
&
Semiconductor
Equipment
-
10.9%
685
Analog
Devices
Inc
117,457
287
ASML
Holding
NV
189,661
198
Lam
Research
Corp
99,020
651
NVIDIA
Corp
127,186
Total
Semiconductors
&
Semiconductor
Equipment
533,324
Software
-
17.4%
151
Adobe
Inc
(2)
55,921
371
Intuit
Inc
156,811
1,477
Microsoft
Corp
366,015
604
Palo
Alto
Networks
Inc
(2)
95,819
392
ServiceNow
Inc
(2)
178,411
Total
Software
852,977
Technology
Hardware,
Storage
&
Peripherals
-
5.2%
1,757
Apple
Inc
253,518
Total
Technology
Hardware,
Storage
&
Peripherals
253,518
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
–
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
–
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
–
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Shares
Description
(1)
Value
Textiles,
Apparel
&
Luxury
Goods
-
1.7%
277
Lululemon
Athletica
Inc
(2)
$
85,006
Total
Textiles,
Apparel
&
Luxury
Goods
85,006
Total
Long-Term
Investments
(cost
$5,159,738)
4,865,992
Shares
Description
(1)
Coupon
Value
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
0.5%
X
25,772
MONEY
MARKET
FUNDS
-
0.5%
X
25,772
25,772
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
(4)
4.350%(5)
$
25,772
Total
Investments
Purchased
with
Collateral
from
Securities
Lending
(cost
$25,772)
$
25,772
Total
Investments
(cost
$
5,185,510
)
-
99
.8
%
4,891,764
Other
Assets
&
Liabilities,
Net
-
0.2%
11,374
Net
Assets
-
100%
$
4,903,138
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Common
Stocks
$
4,865,992
$
–
$
–
$
4,865,992
Investments
Purchased
with
Collateral
from
Securities
Lending
25,772
–
–
25,772
Total
$
4,891,764
$
–
$
–
$
4,891,764
For
Fund
portfolio
compliance
purposes,
the
Fund’s
industry
classifications
refer
to
any
one
or
more
of
the
industry
sub-classifications
used
by
one
or
more
widely
recognized
market
indexes
or
ratings
group
indexes,
and/or
as
defined
by
Fund
management.
This
definition
may
not
apply
for
purposes
of
this
report,
which
may
combine
industry
sub-classifications
into
sectors
for
reporting
ease.
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
Non-income
producing;
issuer
has
not
declared
an
ex-dividend
date
within
the
past
twelve
months.
(3)
Investment,
or
a
portion
of
investment,
is
out
on
loan
for
securities
lending.
The
total
value
of
the
securities
out
on
loan
as
of
the
end
of
the
reporting
period
was
$24,954.
(4)
The
Fund
may
loan
securities
representing
up
to
one
third
of
the
market
value
of
its
total
assets
(which
includes
collateral
for
securities
on
loan)
to
broker
dealers,
banks,
and
other
institutions.
The
collateral
maintained
by
the
Fund
shall
have
a
market
value,
at
the
inception
of
each
loan,
equal
to
not
less
than
100%
of
the
market
value
of
the
loaned
securities.
The
cash
collateral
received
by
the
Fund
is
invested
in
this
money
market
fund.
(5)
The
rate
shown
is
the
one-day
yield
as
of
the
end
of
the
reporting
period.
ADR
American
Depositary
Receipt