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NSCS

Nuveen Small Cap Select
1W: +0.0% 1M: +2.3% 3M: +4.2% 1Y: +4.7% 3Y: +33.1%
$26.85
Last traded 2025-07-01 — delisted
ETF AMEX · AUM $7.0M
ETF-Level Metrics
AUM$7M
Holdings86
Top 10 Wt19.3%
Beta1.12
% Profitable63%
Coverage98%
Portfolio Valuation
P/E27.5
P/B3.1
P/S2.5
EV/EBITDA15.1
P/FCF24.8
PEG1.22
Profitability & Returns
Gross Margin40.7%
Net Margin6.8%
ROE8.8%
ROA2.3%
ROIC8.9%
Div Yield1.13%
Leverage & Liquidity
Debt/Equity0.68
Debt/Assets0.17
Net Debt/EBITDA1.1x
Interest Cov2.1x
Current Ratio0.47
Quick Ratio0.40
Growth (YoY)
Revenue+20.8%
Net Income+24.1%
EPS+21.5%
FCF+31.8%
EBITDA+21.0%
Rev CAGR 3Y+10.0%
Quality Scores
Piotroski F6.0
Altman Z4.92
IS Quality63.9
IS Overall52.0
IS Value50.7
Median P/E14.2

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 16 18.4% -3.8
Financial Services 12 18.4% 14.6
Healthcare 19 15.9% -20.7
Industrials 12 15.6% 55.4
Consumer Cyclical 8 9.8% 45.8
Basic Materials 4 5.1% 17.9
Real Estate 4 3.9% 0.1
Consumer Defensive 2 3.3% 63.6
Energy 3 3.2% 27.0
Communication Services 2 3.0% 23.7
Utilities 2 2.1% 18.7
Other 2 1.3%

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 86 holdings · Page 1 of 2
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 WINTRUST FINANCIAL CORP WTFC 2.47% $213,220 1,630 11.3 $9.4B Financial Services
2 EVERCORE INC EVR 2.17% $187,869 645 19.9 $12.1B Financial Services
3 PRIMO BRANDS CORP PRMB 2.10% $181,369 5,603 116.3 $6.8B Consumer Defensive
4 PIPER SANDLER COS PIPR 2.00% $172,841 545 18.6 $1.4B Financial Services
5 SOUTHSTATE CORP SSB 1.84% $159,019 1,506 11.8 $9.4B Financial Services
6 BANNER CORP BANR 1.79% $154,767 2,190 10.8 $2.1B Financial Services
7 MERIT MEDICAL SYSTEMS INC MMSI 1.79% $154,610 1,420 31.3 $4.0B Healthcare
8 HEALTHEQUITY INC HQY 1.75% $151,165 1,369 33.9 $7.2B Healthcare
9 SUMMIT MATERIALS INC SUM 1.68% $144,899 2,770 21.9 $9.2B Basic Materials
10 APPLIED INDUSTRIAL TECHNO AIT 1.67% $144,577 556 24.9 $10.1B Industrials
11 NORTHERN OIL AND GAS INC NOG 1.64% $141,967 3,949 71.3 $2.8B Energy
12 MAGNITE INC MGNI 1.62% $139,716 8,123 11.7 $1.7B Communication Services
13 WORKIVA INC WK 1.61% $138,981 1,415 -129.5 $3.4B Technology
14 KRATOS DEFENSE & SECURITY KTOS 1.61% $138,953 4,164 521.7 $12.6B Industrials
15 FIRSTCASH HOLDINGS INC FCFS 1.61% $138,839 1,272 27.2 $8.8B Financial Services
16 ENPRO INC NPO 1.59% $137,604 741 131.4 $5.4B Industrials
17 ATMUS FILTRATION TECHNOLO ATMU 1.57% $135,539 3,241 22.6 $4.7B Industrials
18 ESCO TECHNOLOGIES INC ESE 1.54% $133,271 1,004 24.8 $7.6B Technology
19 WNS HOLDINGS LTD WNS 1.53% $131,932 2,154 27.3 $3.3B Technology
20 PATRICK INDUSTRIES INC PATK 1.52% $131,430 1,353 27.5 $3.8B Consumer Cyclical
21 FIRST INTERSTATE BANCSYST FIBK 1.46% $126,330 3,834 11.2 $3.4B Financial Services
22 BOYD GAMING CORP BYD 1.45% $125,706 1,640 3.6 $6.3B Consumer Cyclical
23 GRID DYNAMICS HOLDINGS IN GDYN 1.44% $124,200 5,498 50.6 $492M Technology
24 SPX TECHNOLOGIES INC SPXC 1.43% $123,420 831 38.6 $9.8B Industrials
25 FLUOR CORP. FLR 1.41% $121,730 2,525 -156.4 $6.9B Industrials
26 ZIFF DAVIS INC ZD 1.40% $120,714 2,240 35.7 $1.6B Communication Services
27 ENCOMPASS HEALTH CORP EHC 1.39% $120,415 1,213 17.2 $9.8B Healthcare
28 ARCOSA INC ACA 1.39% $120,344 1,188 25.3 $5.3B Industrials
29 HOME BANCSHARES INC/AR HOMB 1.36% $117,499 3,892 11.3 $5.3B Financial Services
30 BOOT BARN HOLDINGS INC BOOT 1.33% $114,686 713 18.8 $4.1B Consumer Cyclical
31 Q2 HOLDINGS INC QTWO 1.30% $112,110 1,178 57.4 $3.0B Technology
32 MATADOR RESOURCES CO. MTDR 1.27% $109,562 1,889 10.3 $7.8B Energy
33 TRI POINTE HOMES INC TPH 1.24% $107,226 2,909 16.5 $4.0B Consumer Cyclical
34 ITRON INC ITRI 1.23% $106,608 993 13.3 $4.0B Technology
35 PAR TECHNOLOGY CORP PAR 1.23% $106,272 1,464 -6.6 $565M Technology
36 BLACK HILLS CORP BKH 1.23% $106,066 1,806 18.3 $5.3B Utilities
37 EASTGROUP PROPERTIES INC EGP 1.21% $104,825 618 39.0 $10.1B Real Estate
38 PREFERRED BANK/LOS ANGELE PFBC 1.21% $104,790 1,147 8.3 $1.1B Financial Services
39 BELLRING BRANDS INC BRBR 1.19% $102,643 1,327 10.8 $2.0B Consumer Defensive
40 COMMERCIAL METALS CO CMC 1.19% $102,508 2,114 13.6 $6.9B Basic Materials
41 STEVEN MADDEN LTD SHOO 1.18% $101,886 2,482 53.9 $2.5B Consumer Cyclical
42 AVIENT CORP AVNT 1.17% $100,944 2,353 39.2 $3.2B Basic Materials
43 SHAKE SHACK INC SHAK 1.16% $100,410 850 78.6 $3.6B Consumer Cyclical
44 STAG INDUSTRIAL INC STAG 1.16% $99,942 2,924 25.1 $7.0B Real Estate
45 LUMENTUM HOLDINGS INC LITE 1.13% $97,734 1,149 233.7 $59.0B Technology
46 GLAUKOS CORP GKOS 1.13% $97,619 624 -34.6 $6.5B Healthcare
47 RUBRIK INC RBRK 1.10% $94,665 1,292 -29.0 $10.4B Technology
48 SILICON LABORATORIES INC SLAB 1.09% $94,506 697 -106.1 $6.9B Technology
49 HILLMAN SOLUTIONS CORP HLMN 1.07% $92,830 9,283 39.3 $1.6B Industrials
50 RADNET INC RDNT 1.06% $91,723 1,401 -220.9 $4.3B Healthcare

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms