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NASDAQ Global MarketFixed-income ETF
$20.4859
−$0.0491 · -0.24%
As of Oct 8, 2:17 PM ET
Regular session · ET · Market data may be delayed.
UCRD actively invests in investment-grade corporate bonds, utilizing proprietary methodologies to pick securities that demonstrate strong ESG characteristics and acceptable credit risk. The fund uses two proprietary methodologies: an ESG methodology, which scores securities on environmental, social, and governance factors, and a proprietary credit rating methodology, which combines the composite ESG score and credit risk assessment to create an internal credit rating. This internal credit rating is then used to select the securities for the portfolio. UCRD may also allocate a small portion of its assets in securities outside its normal segment, like high yield securities, government securities, and USD denominated foreign securities. The fund may also engage in relative value trading. Prior to April 24, 2023, the fund was named VictoryShares ESG Corporate Bond ETF.
Fund facts updated Oct 8, 2026.
Day range
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52-week range
Current $20.4859
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ETF data may be delayed, incomplete, or revised. Holdings and exposures change over time. Historical performance does not guarantee future results. This page is for informational and educational purposes only and does not constitute investment advice or a recommendation.
1 month
-2.63%
3 months
-4.14%
Year to date
-5.64%
1 year
-6.24%
3 years
+4.10%
5 years
-18.15%
Since inception
-18.19%
Cumulative price changes exclude distributions and investor-specific taxes, trading costs, and cash flows.
Showing 15 of 513 reported holdings
Displayed portfolio weight: 9.55%
Holdings data updated Oct 8, 2026.
Oct 8, 2026
Oct 8, 2026
Oct 9, 2026
$0.0851
Monthly
Sep 9, 2026
Sep 9, 2026
Sep 10, 2026
$0.0576
Monthly
Aug 7, 2026
Aug 7, 2026
Aug 10, 2026
$0.0735
Monthly
Jul 9, 2026
Jul 9, 2026
Jul 10, 2026
$0.0829
Monthly
Jun 9, 2026
Jun 9, 2026
Jun 10, 2026
$0.0748
Monthly
May 8, 2026
May 8, 2026
May 11, 2026
$0.073
Monthly
Apr 9, 2026
Apr 9, 2026
Apr 10, 2026
$0.0776
Monthly
Mar 10, 2026
Mar 10, 2026
Mar 11, 2026
$0.0755
Monthly
Feb 9, 2026
Feb 9, 2026
Feb 10, 2026
$0.0706
Monthly
Jan 8, 2026
Jan 8, 2026
Jan 9, 2026
$0.0191
Monthly
Amounts are shown per share in the ETF trading currency and adjusted for splits when the provider supplies an adjusted value; otherwise the reported amount is used.