NSI
ยทNASDAQ
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Key Stats
Assets Under Management
31.67MUSD
Fund Flows (1Y)
20.84MUSD
Dividend Yield
2.30%
Discount/Premium to NAV
0.15%
Shares Outstanding
960.00K
Expense Ratio
0.75%
About National Security Emerging Markets Index ETF
Issuer
Tuttle Capital Management, LLC
Brand
Tuttle Capital
Inception Date
Dec 6, 2023
Structure
Open-Ended Fund
Index Tracked
Alerian National Security Emerging Markets Index
Management Style
Passive
Dividend Treatment
Distributes
Distribution Tax Treatment
Qualified dividends
Income Tax Type
Capital Gains
Max ST Capital Gains Rate
39.60%
Max LT Capital Gains Rate
20.00%
Primary Advisor
Tuttle Capital Management LLC
Distributor
Northern Lights Distributors LLC
NSI invests in the emerging markets equity space without compromising the US national security. Starting with an initial universe of emerging markets stocks, the fund uses National Security Governance (NSG) screening process to remove companies that fall into any of the following: (a) companies subject to a US government sanctions program, (b) defense contractors or suppliers of military items in a country of concern (i.e., China and Russia), (c) firms in a country of concern that provide dual-use items to a military end-user, or that are involved in a military-civil fusion program, (d) firms engaged in state-sponsored influence operations targeted against the US or its allies, (e) companies that are a strategic, cybersecurity, or an espionage threat to US or its allies, (f) human rights violators, and (g) operators in disputed areas of the South or East China Sea. All remaining securities are selected and weighted by market-cap. The index reconstitutes semi-annually and rebalances quarterly.
Classification
Asset Class
Equity
Category
Size and Style
Focus
Total Market
Niche
Broad-based
Strategy
ESG
Geography
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Weighting Scheme
Market Cap
Selection Criteria
Principles-based
Returns
1-Month | 3-Month | YTD | 1-Year | 3-Year | 5-Year | |
|---|---|---|---|---|---|---|
Price Performance | -0.80% | +1.87% | +29.77% | +23.87% | +30.99% | +30.99% |
NAV Total Return | -0.30% | +6.35% | +34.13% | +28.65% | +0.16% | +0.16% |
Ratings
No data is currently available
Ainvestโs AI-powered ETF Scoring Algorithm, built to help retail investors make smarter, data-driven decisions. Leveraging deep learning, reinforcement learning, and large language models, the algorithm scores ETFs across five key dimensions: Fund Flow, Momentum, Safety, Fundamentals, and Performance. Each factor is weighted by its correlation to future returns, resulting in a single, actionable score. Backtested over five years with consistently strong predictive accuracy. Ainvest brings institutional-grade artificial intelligence to everyday investorsโtransforming complexity into clarity with every score.
Holdings Analysis
Sector
Technology
31.54%
Financial Services
23.59%
Consumer Cyclical
12.85%
Communication Services
10.20%
Basic Materials
6.09%
Energy
4.26%
Industrials
3.75%
Consumer Defensive
3.66%
Healthcare
2.18%
Technology
31.54%
Financial Services
23.59%
Consumer Cyclical
12.85%
Communication Services
10.20%
Basic Materials
6.09%
Energy
4.26%
Industrials
3.75%
Consumer Defensive
3.66%
Healthcare
2.18%
Show more
Asset
Region

74.07%
17.83%
5.82%
1.94%
0.35%
Category
Ratio
Asia
74.07%
Latin America
17.83%
Africa/Middle East
5.82%
North America
1.94%
Europe
0.35%
Investment Style
No data is currently available
Top 10 Holdings
Symbol
Ratio
TSM
TSMC
15.45%
SAMSUN-GDR REG S
5.85%
CHINA CONSTR-ADR
3.52%
NASPERS-N ADR
2.80%
HDB
HDFC Bank
2.69%
ASX
ASEH
2.68%
BBH SWEEP VEHICLE
2.67%
CHT
CHT
2.61%
PDD
PDD Holdings
2.53%
PNGAY.PQ
2.49%
Top 10 Weight 43.28%
114 Total Holdings
Dividends
Dividend Payout History
Declaration Date | Record Date | Payment Date | Amount |
|---|---|---|---|
| 2025-11-21 | 2025-11-21 | 2025-11-26 | 0.151 |
| 2025-05-23 | 2025-05-23 | 2025-05-28 | 0.157 |
| 2024-12-20 | 2024-12-20 | 2024-12-26 | 0.448 |
| 2024-11-22 | 2024-11-22 | 2024-11-27 | 0.248 |
| 2024-05-24 | 2024-05-28 | 2024-06-03 | 0.153 |
| 2023-12-29 | 2024-01-02 | 2024-01-08 | 0.090 |
Premium/Discount Chart
Premium/Discount to NAV
Price
1M
Assets Under Management
Assets Under Management
1M
Fund Flows
Inflows
Outflows
1M
