ETFdb Logo
  • ETF Database
  • Content Hubs
    • Themes
      • Active ETF
      • Alternatives
      • Artificial Intelligence
      • China Insights
      • Core Strategies
      • Crypto
      • Disruptive Technology
      • Energy Infrastructure
      • ETF Building Blocks
      • ETF Investing
      • ETF Strategist
      • Financial Literacy
      • Fixed Income
      • Free Cash Flow
      • Future ETFs
      • Innovative ETFs
      • Institutional Income Strategies
      • Leveraged & Inverse
      • Market Insights
      • Market Outlooks
      • Modern Alpha
      • Nuclear Energy
      • Portfolio Strategies
      • Sector Investing
      • Tax Efficient Income
      • Thematic Investing
    • Asset Class
      • Equity
        • U.S. Equity
        • Int'l Developed
        • Emerging Market Equities
      • Alternatives
        • Gold/Silver/Critical Materials
        • Cryptocurrency
        • Currency
        • Volatility
      • Fixed Income
        • Investment Grade Corporates
        • US Treasuries & TIPS
        • High Yield Corporates
        • Int'l Fixed Income
    • ETF Ecosystem
    • ETFs in Canada
    • Market Outlook
    • Crypto ETF Hub
  • Tools
    • ETF Screener
    • ETF Country Exposure Tool
    • ETF Database Categories
    • Indexes
    • Scenario Analysis
    • Watchlists
    • Head-To-Head ETF Comparison Tool
    • Mutual Fund To ETF Converter
    • ETF Stock Exposure Tool
    • ETF Issuer Fund Flows
  • Research
    • ETF Education
    • Equity Investing
    • Dividend ETFs
    • Leveraged ETFs
    • Inverse ETFs
    • Index Education
    • Index Insights
    • Top ETF Sectors
    • Top ETF Issuers
    • Top ETF Industries
  • Webcasts
  • Sectors
    • Sector Investing Content Hub
    • XLK
    • XLI
    • XLU
    • XLY
    • XLP
    • XLRE
    • Sector Power Rankings
    • XLE
    • XLC
    • XLF
    • XLV
    • XLB
  • Multimedia
    • ETF 360 Video Series
    • ETF of the Week Podcast
    • Gaining Perspective Podcast
    • ETF Prime Podcast
    • Video
  • Company
    • About VettaFi
  • PRO
    • Pro Content
    • Pro Tools
    • Advanced
    • FAQ
    • Free sign up
    • Login
  1. Thematic Investing Content Hub
  2. New Nuclear ETF Swaps TSM for Broadcom in Rebalance
Thematic Investing Content Hub
Share

New Nuclear ETF Swaps TSM for Broadcom in Rebalance

DJ ShawMar 27, 2026
2026-03-27

The ALPS Nautilus SMR, Nuclear & Technology ETF (SMRF) replaced Taiwan Semiconductor Manufacturing Co. (TSM) with Broadcom Inc. (AVGO) during its March rebalancing, signaling a shift in how the month-old nuclear ETF approaches its technology sleeve.

The change reflects the fund’s focus on what ALPS calls a “compute + firm power” strategy, where AI infrastructure companies are paired with nuclear energy providers in a single allocation, according to the fund’s factsheet. The rebalancing added Broadcom at a 2.07% weight while removing Taiwan Semiconductor entirely from its previous 1.98% position.

The fund launched on February 18, 2026 and pulled in $4.42 million in net flows during its first month, according to ETF Database. SMRF tracks the Nautilus SMR, Nuclear & Technology Index, which caps its AI and technology segment at 25% of the portfolio while prioritizing companies that derive more than half their revenue from nuclear or technology-related business segments.

The March rebalancing involved 71 individual ticker changes across the fund’s holdings, according to ETF Database. Weight increases were concentrated in uranium miners and small modular reactor developers, while the portfolio trimmed positions in broader utility services and international power companies to fund the additions.

Nuclear & AI Infrastructure Holdings

The actively managed fund charges a 0.65% expense ratio and uses an options overlay designed to generate income while managing volatility. Energy makes up 45.87% of the fund’s sector allocation, followed by information technology at 25.83%, industrials at 16.43% and utilities at 11.87%, according to the factsheet.

By segment, uranium and mining companies represent 48.76% of holdings, with the artificial intelligence sleeve at 26.08%, nuclear plant operations and construction at 16.51%, and nuclear generation and transmission at 8.65%. The fund’s top holdings include Uranium Energy Corp. (UEC), Energy Fuels (UUUU), Oklo Inc. (OKLO), and Cameco Corp. (CCJ).

The rebalance boosted allocations to NuScale Power Corp. (SMR), which develops small modular reactors, by 0.79 percentage points to 2.79%. Uranium Energy Corp., Energy Fuels Inc. and Kazatomprom JSC each saw increases as the fund moved capital toward companies with direct exposure to the uranium supply chain.

CoreWeave Inc. (CRWV), a private AI cloud infrastructure company that provides computing capacity for AI training and inference, had its weight increased by 0.32 percentage points to 2.07%. The company ranks among the fund’s top 10 holdings alongside nuclear operators and uranium miners.


Content continues below advertisement

SMRF March 2026 Rebalance Highlights

ActionTickerCompanyPrevious WeightNew WeightChange
AddedAVGOBroadcom Inc.—2.07%New
DroppedTSMTaiwan Semiconductor1.98%—Removed
IncreasedSMRNuScale Power Corp.2.00%2.79%0.0079
IncreasedUECUranium Energy Corp.4.15%4.50%0.0035
IncreasedCRWVCoreWeave Inc.1.76%2.07%0.0032
IncreasedUUUUEnergy Fuels Inc.4.20%4.50%0.003
IncreasedKAPKazatomprom JSC4.28%4.50%0.0022
IncreasedOKLOOklo Inc.4.38%4.50%0.0012
DecreasedBOEBoss Energy Limited0.39%0.39%-0.01%
DecreasedURCUranium Royalty Corp.0.39%0.39%-0.01%
DecreasedCRWDCrowdStrike Holdings Inc.0.26%0.25%-0.01%
DecreasedSNDKSanDisk Corp.0.22%0.22%-0.01%
Source: ETF Database

For more news, information, and analysis, visit The Thematic Investing Content Hub.

VettaFi LLC (“VettaFi”) is the index provider for SMRF, for which it receives an index licensing fee. However, SMRF is not issued, sponsored, endorsed, or sold by VettaFi, and VettaFi has no obligation or liability in connection with the issuance, administration, marketing, or trading of SMRF.

Loading Articles...

Advertisement

Is Your Portfolio Positioned With Enough Global Exposure?

ETF Education Channel

How to Allocate Commodities in Portfolios

Tom LydonApr 26, 2022
2022-04-26

A long-running debate in asset allocation circles is how much of a portfolio an investor should...

Core Strategies Channel

Why ETFs Experience Limit Up/Down Protections

Karrie GordonMay 13, 2022
2022-05-13

In a digital age where information moves in milliseconds and millions of participants can transact...

}
X