Columbia U.S. High Yield ETF (NJNK)

Management Company · ARCX · Series S000086827 · View on SEC EDGAR ↗

$20.04
As of Aug. 28, 2026
▼ -0.05 (-0.22%)
1-day change
$20.01 $20.14
52-week range
Net assets
$39.1M
Holdings
458
As of
June 30, 2026
Top 10 holdings weight
7.36%
Effective number of positions
323.1
Positions above 1%
1
On this page

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Performance as of Aug. 28, 2026

Period Price return Total return
1M
3M
6M
YTD
1Y
3Y
5Y
Max since Aug. 18, 2026 ▲ +0.07% ▲ +0.07%
Volatility 1Y
Volatility 3Y
Max drawdown 3Y
Beta 3Y
Sharpe 1Y*

Total return assumes dividends are reinvested. Returns are not benchmarked against an index. * Sharpe ratio is computed with a 0% risk-free rate.

Fund flows (SEC-reported)

Last month (Jun 2026)
+$1000K
Quarter ending Jun 2026
-$8.0M
Trailing 12 months
-$3.0M

Jul 2025 – Jun 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Full composition 458 holdings

NameCUSIP Value % Balance Category Country
ROCKET COS INC 77311WAD3 $104K 0.27 100,000 DBT US
SWORD PURCHASER LLC 87110CAB3 $103K 0.26 100,000 DBT US
CARVANA CO 146869AN2 $103K 0.26 100,000 DBT US
NAVIENT CORP 78442FAZ1 $103K 0.26 125,000 DBT US
DAVITA INC 23918KAW8 $103K 0.26 100,000 DBT US
AMENTUM HOLDINGS INC 02352BAA3 $103K 0.26 100,000 DBT US
CNX RESOURCES CORP 12653CAL2 $103K 0.26 100,000 DBT US
JB POINDEXTER & CO INC 465965AC5 $103K 0.26 100,000 DBT US
NABORS INDUSTRIES INC 62957HAQ8 $103K 0.26 100,000 DBT US
QXO BUILDING PRODUCTS 77583AAB6 $103K 0.26 100,000 DBT US
TRANSDIGM INC 893647CA3 $103K 0.26 100,000 DBT US
WS ESCROW LLC 982104AA9 $103K 0.26 100,000 DBT US
WESCO DISTRIBUTION INC 95081QAS3 $103K 0.26 100,000 DBT US
KODIAK GAS SERVICES LLC 50012LAE4 $103K 0.26 100,000 DBT US
PARK INTERMED HOLDINGS 70052LAD5 $102K 0.26 100,000 DBT US
NABORS INDUSTRIES INC 62957HAR6 $102K 0.26 100,000 DBT US
ROCKET COS INC 77311WAC5 $102K 0.26 100,000 DBT US
WILLIAMS SCOTSMAN INC 96949VAM5 $102K 0.26 100,000 DBT US
CLARIOS GLOBAL LP/US FIN 18060TAE5 $102K 0.26 100,000 DBT XX
QXO BUILDING PRODUCTS 77583AAA8 $102K 0.26 100,000 DBT US
CELANESE US HOLDINGS LLC 15089QBA1 $102K 0.26 100,000 DBT US
RIVERS ENTERPRISE 76883NAA9 $102K 0.26 100,000 DBT US
WHITE CAP SUPPLY HOLDING 96467GAC2 $101K 0.26 100,000 DBT US
CORE SCIENTIFIC FINANCE 21874LAA0 $101K 0.26 100,000 DBT US
SURGERY CENTER HOLDINGS 86881WAF9 $101K 0.26 100,000 DBT US
PERFORMANCE FOOD GROUP I 71376LAF7 $101K 0.26 100,000 DBT US
CARNIVAL CORP LTD 143658BX9 $101K 0.26 100,000 DBT BM
CAPSTONE COPPER CORP 14071LAA6 $101K 0.26 100,000 DBT CA
AMERIGAS PART/FIN CORP 030981AR5 $101K 0.26 100,000 DBT US
VENTURE GLOBAL CALCASIEU 92328MAF0 $101K 0.26 100,000 DBT US
AVIS BUDGET CAR/FINANCE 053773BK2 $101K 0.26 100,000 DBT US
BLOCK INC 852234AU7 $101K 0.26 100,000 DBT US
CAESARS ENTERTAIN INC 12769GAB6 $101K 0.26 100,000 DBT US
OSAIC HOLDINGS INC 00791GAB3 $100K 0.26 100,000 DBT US
MERIDIAN ARC HOLDCO LLC 58990CAA1 $100K 0.26 100,000 DBT US
FREEDOM MORTGAGE CORP 35640YAJ6 $100K 0.26 100,000 DBT US
VIKING CRUISES LTD 92676XAH0 $100K 0.26 100,000 DBT BM
CLEVELAND-CLIFFS INC 18589GAA3 $100K 0.26 100,000 DBT US
COREWEAVE INC 21873SAG3 $100K 0.26 100,000 DBT US
DELEK LOG PART/FINANCE 24665FAG7 $100K 0.25 100,000 DBT US
TENET HEALTHCARE CORP 88033GDW7 $99K 0.25 100,000 DBT US
MEDLINE BORROWER LP 62482BAB8 $99K 0.25 100,000 DBT US
PG&E CORP 69331CAH1 $99K 0.25 100,000 DBT US
TALEN ENERGY SUPPLY LLC 87422VAM0 $99K 0.25 100,000 DBT US
CRESCENT ENERGY FINANCE 45344LAE3 $99K 0.25 100,000 DBT US
HERC HOLDINGS INC 42704LAK0 $99K 0.25 100,000 DBT US
USA COM PART/USA COM FIN 91740PAH1 $99K 0.25 100,000 DBT US
ONEMAIN FINANCE CORP 682691AN0 $99K 0.25 100,000 DBT US
POST HOLDINGS INC 737446AY0 $99K 0.25 100,000 DBT US
MATCH GROUP HLD II LLC 57667JAC6 $99K 0.25 100,000 DBT US
Page 3 of 10

Sector breakdown

Other/Unmapped
100.0%

Dividends 23 payments

6.35%
TTM yield
$1.27
TTM payout / share
Monthly (est.)
Ex-date Amount / share
Aug. 3, 2026 $0.1030
July 1, 2026 $0.0940
June 1, 2026 $0.1120
May 1, 2026 $0.1000
April 1, 2026 $0.1130
March 2, 2026 $0.0960
Feb. 2, 2026 $0.0910
Dec. 29, 2025 $0.1000
Dec. 1, 2025 $0.1080
Nov. 3, 2025 $0.1030
Oct. 1, 2025 $0.1470
Sept. 2, 2025 $0.1050
Aug. 1, 2025 $0.1110
July 1, 2025 $0.1020
June 2, 2025 $0.0890
May 1, 2025 $0.1020
April 1, 2025 $0.1160
March 3, 2025 $0.0940
Feb. 3, 2025 $0.1080
Dec. 27, 2024 $0.1060
Dec. 2, 2024 $0.1030
Nov. 1, 2024 $0.1070
Oct. 1, 2024 $0.0890

Institutional owners (13F) 4 filers

Institutions that report holding this ETF in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Institution Value % of tracked 13F Shares Type As of
AMERIPRISE FINANCIAL INC $26,208,806 73.08% 1,300,040 Shares June 30, 2026
LPL Financial LLC $9,276,033 25.86% 460,121 Shares June 30, 2026
FOCUSED ALPHA, LLC $372,557 1.04% 18,480 Shares June 30, 2026
OSAIC HOLDINGS, INC. $6,390 0.02% 317 Shares June 30, 2026

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