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BSMC · Brandes U.S. Small-Mid Cap Value ETF ETF

2023 ETF Series Trust

SEC fund profile
$40.44 -0.27% At close · Sep 4
Net assets $166,315,607
Holdings70
1 month
-0.74%
Year to date
+17.01%
52-week range
$32.40–$41.46
30-session avg volume
10,759

Market performance

Adjusted close · up to five years

Since Oct 2023

Fund profile

Structure
Open-end / ETF
SEC series
S000081643
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings26.39%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

EC95.99%
STIV3.94%

Country allocation

US87.93%
GG2.19%
NL1.98%
GB1.77%
ES1.43%
CA1.13%
IL1.01%
Other2.48%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
JPMORGAN TRUST II$6,558,4273.94%
INGLES MARKETS INC$4,683,5792.82%
INTERNATIONAL FLAVORS & FRAGRANCES INC$4,496,1312.70%
ELANCO ANIMAL HEALTH INC$4,412,0072.65%
INNOVEX INTERNATIONAL INC$4,339,8512.61%
EDGEWELL PERSONAL CARE COMPANY$4,261,4462.56%
UNIFIRST CORP$3,948,9172.37%
DENTSPLY SIRONA INC$3,946,5702.37%
AMDOCS LTD$3,640,0932.19%
ZIMMER BIOMET HOLDINGS INC$3,605,7942.17%
CITIZENS FINANCIAL GROUP INC$3,600,4772.16%
IPG PHOTONICS CORP$3,563,3602.14%
CAMPBELL'S COMPANY (THE)$3,511,6002.11%
TEXTRON INC$3,174,5001.91%
ORGANON & COMPANY$3,137,7731.89%
OMNICOM GROUP INC$2,955,9511.78%
NETGEAR INC$2,940,4891.77%
BALFOUR BEATTY PLC$2,939,5971.77%
FORTREA HOLDINGS INC$2,896,2471.74%
TIMKEN COMPANY (THE)$2,863,2401.72%
SCHOLASTIC CORP$2,823,7561.70%
QORVO INC$2,777,6741.67%
MOLSON COORS BEVERAGE COMPANY$2,736,0051.65%
TELEFLEX INC$2,702,2701.62%
PEDIATRIX MEDICAL GROUP INC$2,672,4161.61%
EPAM SYSTEMS INC$2,630,6911.58%
ONEMAIN HOLDINGS INC$2,420,8141.46%
GRIFOLS SA$2,381,2311.43%
SEI INVESTMENTS COMPANY$2,338,0851.41%
HALLIBURTON COMPANY$2,282,6621.37%
BROWN & BROWN INC$2,274,4381.37%
MOOG INC$2,191,2531.32%
WORLD KINECT CORP$2,152,9911.29%
LEVI STRAUSS & COMPANY$2,047,0851.23%
AVNET INC$2,045,1691.23%
COOPER COMPANIES INC (THE)$1,921,8281.16%
F5 INC$1,905,0971.15%
WINPAK LTD$1,886,5081.13%
SOTERA HEALTH COMPANY$1,865,4361.12%
TYSON FOODS INC$1,842,0761.11%
AGCO CORP$1,817,5251.09%
MOHAWK INDUSTRIES INC$1,808,4241.09%
HEALTHCARE SERVICES GROUP INC$1,800,1251.08%
MARZETTI COMPANY (THE)$1,713,3131.03%
LKQ CORP$1,694,2041.02%
NICE LTD$1,687,5391.01%
CNH INDUSTRIAL NV$1,679,5811.01%
CONAGRA BRANDS INC$1,656,0651.00%
EQUIFAX INC$1,646,8790.99%
KONINKLIJKE PHILIPS NV$1,614,8140.97%