Vert Global Sustainable Real Estate ETF

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VGSR Fund Commentary

June 30, 2026

VGSR Fund Commentary

June 30, 2026

VGSR Fund Commentary

March 31, 2026

VGSR Fund Commentary

December 31, 2025

The Vert Global Sustainable Real Estate Strategy operated as a mutual fund from October 31, 2017 and prior to the fund reorganization on December 4, 2023. The investment objectives have not changed. The fund commentaries, fund factsheet, and ESG tear sheet are shown for periods prior to the ETF listing date.

Fund Literature

Prospectus

Summary Prospectus

Semi-Annual Report

Statement of Additional Information

Form N-PX

Annual Report

Annual
Shareholder Report

Semi-Annual Shareholder Report

Q1 Holdings

Q3 Holdings

Fund Literature

The Vert Global Sustainable Real Estate Strategy operated as a mutual fund from October 31, 2017 and prior to the fund reorganization on December 4, 2023. The investment objectives have not changed. The annual report, semi-annual report, and schedules of investments of the predecessor mutual fund are shown for periods prior to the ETF listing date.

Characteristics

VGSR Quarterly Characteristics (as of June 30, 2026)

Characteristics
Wtd. Average Market Cap. ($Millions)42,321
Aggregate Price-to-Book1.80
Number of Holdings143
Sector Weights
Specialized REITs21.8%
Retail REITs19.2%
Industrial REITs16.7%
Health Care REITs12.7%
Residential REITs12.3%
Diversified REITs8.2%
Office REITs6.6%
Hotel & Resort REITs2.4%
Top Holdings
Equinix5.7%
Simon Property Group5.5%
Welltower5.2%
Prologis4.7%
Digital Realty Trust4.6%
American Tower4.3%
Goodman Group4.3%
Ventas4.2%
Iron Mountain3.7%
Extra Space Storage3.0%
Top Countries
United States68.7%
Australia9.0%
Japan5.6%
United Kingdom5.2%
France3.3%
Singapore3.1%
Belgium1.6%
Canada1.0%
Spain0.9%
South Africa0.6%

Distributions

Record dateEx-DatePayable DateTypeRate Per Share
6/25/266/25/266/26/26Quarterly Dividend$0.09526682
3/26/263/26/263/27/26Quarterly Dividend$0.09333878
12/30/2512/30/2512/31/25Quarterly Dividend$0.06732525
9/25/259/25/259/26/25Quarterly Dividend$0.11991241
6/26/256/26/256/27/25Quarterly Dividend$0.10506162
3/27/253/27/253/28/25Quarterly Dividend$0.06214456
12/30/2412/30/2412/31/24Quarterly Dividend$0.0619889
9/27/249/27/249/30/24Quarterly Dividend$0.08991217
6/27/246/27/246/28/24Quarterly Dividend$0.08816990
3/28/243/27/243/29/24Quarterly Dividend$0.14383006
All fund distributions will vary depending upon current market conditions, and past distributions are not indicative of future trends.

To receive a distribution, you must have been a registered shareholder of the fund on the record date. Distributions were paid to shareholders on the payment date. Past distributions are not indicative of future trends. Please consult your tax professional or financial adviser for more information regarding your tax situation.

Prior to listing date, the ETF operated as a mutual fund. Distribution information shown prior to the ETF listing date is of the predecessor mutual fund.

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