NBI Active U.S. Equity ETF

Category: U.S. Equity
Morningstar rating: 5 of 5
Ticker
NUSA
NAV (05/02/2025)
$42.60 CAD
YTD (03/31/2025)
-4.33%
Net assets (03/31/2025)
$61.96 M
MER (03/31/2025)
0.62%
Inception date
February 11, 2021

Portfolio manager(s)

Managed by National Bank Trust Inc. and sub-advised by:
Jean David Meloche
Jean David Meloche (Since 2005)
Global Equities
Robert Hiscock
Robert Hiscock (Since 2011)

Who is this fund for?

Investors who:
are looking to invest for a long term (at least five years);
are seeking to diversify their investments with exposure to U.S. markets;
are looking for active management that differs from stock market indices.

Performance

Annualized Returns
As of March 31, 2025
Period Fund
1 month ↓ 5.79%
3 months ↓ 4.33%
6 months ↑ 1.35%
1 year ↑ 5.90%
3 years ↑ 13.81%
5 years
No data available
10 years
No data available
Since Inception ↑ 14.87%
Calendar Returns
As of March 31, 2025
Bar chart showing the calendar returns for the fund nusa for the last five years and cumulative-10%0%10%20%30%20202021202220232024YTD-12.2130.0223.78-4.33
Growth of $10,000
As of March 31, 2025

Quick Facts

As of 05/02/2025
Fund volatility Medium
Investment horizon At least five years
Investment style
No data available
Market capitalization
No data available
Opening price $42.47 CAD
Closing price $42.61 CAD
52-week High $47.98 CAD
52-week Low $36.50 CAD
Units Outstanding 1,419,999
Volume 7577
Distribution Frequency Quarterly
Green check mark RRSP eligibility