Bahl & Gaynor Small/Mid Cap Income Growth ETF

Bahl & Gaynor Is a Premier, Independent Investment Firm Focused on Dividend Growth Investing Alongside Innovative, Trusted Client Service

Active

Fundamental Investors

Specialized

Focus on Dividend Equities

Independent

Since 1990

Aligned

Owner-Principal Investment Committee

Targeted Client Outcomes

Current & Consistent Income Growth

Downside Risk Protection

Seeks Alpha Generation

Fund Profile

04/20/2026
Ticker
SMIG
Exchange
NYSE
Expense Ratio
0.60%
Inception Date
08/25/2021
# of Stocks
37
CUSIP
26922B832

Market Data

04/20/2026
Shares Outstanding
42,650,000
Total Net Assets
$1,317M
Closing Price
$30.88
Ticker
SMIG
NAV
$30.88
30 Day Sec Yield *
1.81%
Premium / Discount
0.00%
Median 30-day Spread
0.03%

Returns

 YTD1 Month3 Months6 Months1 Year3 YearsSince Inception
SMIG NAV2.54%-5.91%2.54%0.19%4.81%10.24%5.45%
SMIG Market Price2.39%-6.05%2.39%0.02%4.81%10.18%5.43%
Russell 2500 TR Index2.04%-5.13%2.04%4.30%23.45%13.25%4.88%

 YTD1 Month3 Months6 Months1 Year3 YearsSince Inception
SMIG NAV2.54%-5.91%2.54%0.19%4.81%10.24%5.45%
SMIG Market Price2.39%-6.05%2.39%0.02%4.81%10.18%5.43%
Russell 2500 TR Index2.04%-5.13%2.04%4.30%23.45%13.25%4.88%

The performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance quoted. Performance data current to the most recent month-end may be obtained by calling (855) 994-1711. Short term performance, in particular, is not a good indication of the fund’s future performance, and an investment should not be made based solely on returns. Market price is the price at which shares in the ETF can be bought or sold on the exchanges during trading hours, while the net asset value (NAV) represents the value of each share’s portion of the fund’s underlying assets and cash at the end of the trading day.

Top Holdings

04/21/2026
NameSymbol/TickerCUSIPQuantityWeight (%)
Snap-on IncSNA833034101164,3134.82%
Gildan Activewear IncGIL3759161031,029,9414.66%
Victory Capital Holdings IncVCTR92645B103819,0994.63%
Targa Resources CorpTRGP87612G101256,3044.50%
Hubbell IncHUBB443510607107,6484.46%
Hartford Insurance Group Inc/TheHIG416515104413,8254.36%
DT Midstream IncDTM23345M107402,1834.03%
Evercore IncEVR29977A105139,8633.80%
NiSource IncNI65473P105974,0743.53%
US Physical Therapy IncUSPH90337L108560,9083.22%
Agree Realty CorpADC008492100529,9563.20%
Packaging Corp of AmericaPKG695156109194,7083.15%
Alliant Energy CorpLNT018802108562,3863.09%
American Healthcare REIT IncAHR398182303800,7223.05%
Reinsurance Group of America IncRGA759351604184,0812.96%
Silicon Motion Technology CorpSIMO82706C108264,6752.78%
Watsco IncWSO94262220083,7062.78%
Ryder System IncR783549108153,7872.68%
Equity LifeStyle Properties IncELS29472R108533,4102.67%
Texas Roadhouse IncTXRH882681109203,9102.53%
RB Global IncRBA74935Q107310,4302.46%
Atmos Energy CorpATO049560105170,3632.41%
American Financial Group Inc/OHAFG025932104216,6712.14%
Cboe Global Markets IncCBOE12503M10891,6892.12%
RPM International IncRPM749685103253,8002.11%
Interparfums IncIPAR458334109277,0442.06%
First Financial BancorpFFBC320209109913,8972.06%
CMS Energy CorpCMS125896100324,0231.89%
Terreno Realty CorpTRNO88146M101305,9271.56%
Avery Dennison CorpAVY053611109119,1191.56%
Penske Automotive Group IncPAG70959W103121,5551.50%
Amdocs LtdDOXG02602103286,3651.45%
Allegion plcALLEG0176J109124,5421.37%
Broadridge Financial Solutions IncBR11133T103112,0011.37%
Plains GP Holdings LPPAGP72651A207739,3451.27%
NetApp IncNTAP64110D104142,5001.15%
Oshkosh CorpOSK68823920141,0660.47%
United States Treasury Bill 07/16/2026912797TN7912797TN7747,0000.06%
United States Treasury Bill 07/09/2026912797RF6912797RF6609,0000.05%
United States Treasury Bill 07/02/2026912797TF4912797TF4248,0000.02%

Show All Holdings Download All Holdings

Holdings are subject to change without notice.

Distributions

Ex-Dividend DateRecord DatePayable DateOrdinary Income$/Share
03/26/202603/26/202603/30/2026$0.047000$0.047000
02/26/202602/26/202603/02/2026$0.047000$0.047000
01/29/202601/29/202602/02/2026$0.047000$0.047000
12/31/202512/31/202501/05/2026$0.041000$0.041000
11/26/202511/26/202512/01/2025$0.047000$0.047000
10/30/202510/30/202511/03/2025$0.047000$0.047000
09/29/202509/29/202510/01/2025$0.046000$0.046000
08/28/202508/28/202509/02/2025$0.045000$0.045000
07/30/202507/30/202508/01/2025$0.045000$0.045000
06/27/202506/27/202507/01/2025$0.045000$0.045000
05/29/202505/29/202506/02/2025$0.044000$0.044000
04/29/202504/29/202505/01/2025$0.042000$0.042000
03/28/202503/28/202504/01/2025$0.042000$0.042000
02/27/202502/27/202503/03/2025$0.041000$0.041000
01/30/202501/30/202502/03/2025$0.040200$0.040200
12/31/202412/31/202401/03/2025$0.070300$0.070300
11/27/202411/27/202412/02/2024$0.040000$0.040000
10/30/202410/30/202411/01/2024$0.039300$0.039300
09/27/202409/27/202410/01/2024$0.036700$0.036700
08/29/202408/29/202409/03/2024$0.037300$0.037300
07/30/202407/30/202408/01/2024$0.038900$0.038900
06/27/202406/27/202407/01/2024$0.039700$0.039700
05/30/202405/30/202406/03/2024$0.039800$0.039800
04/26/202404/29/202405/01/2024$0.040400$0.040400
03/26/202403/27/202404/01/2024$0.041500$0.041500
02/27/202402/28/202403/01/2024$0.043900$0.043900
01/29/202401/30/202402/01/2024$0.041100$0.041100
12/28/202312/29/202301/03/2024$0.062700$0.062700
11/28/202311/29/202312/01/2023$0.041600$0.041600
10/27/202310/30/202311/01/2023$0.043500$0.043500
09/27/202309/28/202310/02/2023$0.047600$0.047600
08/29/202308/30/202309/01/2023$0.043300$0.043300
07/27/202307/28/202308/01/2023$0.035100$0.035100
06/28/202306/29/202307/03/2023$0.039000$0.039000
05/26/202305/30/202306/01/2023$0.037200$0.037200
04/26/202304/27/202305/01/2023$0.032700$0.032700
03/29/202303/30/202304/03/2023$0.034000$0.034000
02/24/202302/27/202303/01/2023$0.031400$0.031400
01/30/202301/31/202302/02/2023$0.033900$0.033900
12/29/202212/30/202201/04/2023$0.057600$0.057600
11/28/202211/29/202212/01/2022$0.037900$0.037900
10/27/202210/28/202211/01/2022$0.043000$0.043000
09/28/202209/29/202210/03/2022$0.040000$0.040000
08/29/202208/30/202209/01/2022$0.043800$0.043800
07/27/202207/28/202208/01/2022$0.034000$0.034000
06/28/202206/29/202207/01/2022$0.037600$0.037600
05/26/202205/27/202206/01/2022$0.035600$0.035600
04/27/202204/28/202205/02/2022$0.030100$0.030100
03/29/202203/30/202204/01/2022$0.033800$0.033800
02/24/202202/25/202203/01/2022$0.030200$0.030200
01/27/202201/28/202202/01/2022$0.030000$0.030000
12/29/202112/30/202101/03/2022$0.041000$0.041000
11/26/202111/29/202112/01/2021$0.021300$0.021300
10/27/202110/28/202111/01/2021$0.025900$0.025900
09/28/202109/29/202110/01/2021$0.043600$0.043600

Show All Distributions

Fund Managers

Robert Groenke

Chief Executive Officer
Principal & Portfolio Manager

Peter Kwiatkowski, CFA®

Chief Investment Officer
Principal & Portfolio Manager

Scott Rodes, CFA®

Principal & Portfolio Manager

Investors should consider the investment objectives, risks, charges and expenses carefully before investing. For a prospectus or summary prospectus with this and other information about the Fund, please call (855) 994-1711 or click here. Read the prospectus or summary prospectus carefully before investing.



As with all ETFs, Shares may be bought and sold in the secondary market at market prices. 



The Russell 2500® Index measures the performance of the small to mid-cap segment of the U.S. equity universe. It includes approximately 2500 of the smallest securities based on a combination of market cap and current index membership. The Index is completely reconstituted annually to ensure larger stocks do not distort the performance and characteristics of the true small to mid-cap opportunity set. It is not possible to invest directly in an index.

American Depositary Receipts (“ADRs) are negotiable certificates issued by a U.S. financial institution that represent a specified number of shares in a foreign stock and trade on a U.S. national securities exchange.

Fund Risks

Investing in ETFs involves additional risks such as the market price of the shares may trade at a discount to its net asset value (“NAV”), an active secondary trading market may not develop or be maintained, or trading may be halted by the exchange in which they trade, which may impact a fund’s ability to sell its shares.

Small/Mid Cap Company Risk. The Fund invests in small- and mid-capitalization companies which may be more vulnerable to adverse issuer, market, political or economic developments than securities of large-capitalization companies. Smaller-capitalization companies generally trade in lower volumes and are  subject to greater and more unpredictable price changes. 


REIT Investment Risk. Investments in REITs involve unique risks. REITs may have limited financial resources, may trade less frequently and in limited volume, and may be more volatile than other securities.

Investments involve risk. Principal loss is possible.

Distributed by Quasar Distributors, LLC

Dividend-Paying Securities Risk.  Investment in dividend-paying securities could cause the Fund to underperform similar funds that invest without consideration of a company’s track record of paying dividends. 

Foreign Markets Risk.  Investments in ADRs that provide exposure to non-U.S. securities involve certain risks that may not be present with investments in U.S. securities. For example, the value of non-U.S. securities may be subject to risk of decline due to foreign currency fluctuations or to political or economic instability.

Investments involve risk. Principal loss is possible.



Distributed by Quasar Distributors, LLC

* As of most recent quarter end.  Represents the Unsubsidized Yield. The 30-day SEC Yield for an Exchange-Traded Fund (ETF) is a standardized yield calculation developed by the U.S. Securities and Exchange Commission (SEC) that reflects the income earned by the fund’s portfolio over the past 30 days, net of expenses. It is calculated by taking the fund’s net investment income, including interest and dividends, and dividing it by the fund’s average net assets over the previous 30 days. This yield calculation provides investors with a snapshot of the fund’s income-generating potential, taking into account expenses that impact yields, such as management fees and other operating costs. It is calculated by our Fund Administrator, US Bank. The unsubsidized yield figure reflects the dividends and interest earned during the period, after the deduction of the fund’s expenses.

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