Towle ETFs

Independent Thinking. Disciplined Investing. Since 1981.

We believe investor biases create market inefficiencies, and systematically acting on these inefficiencies unlocks opportunities for long-term appreciation.

Effective close of business March 13, 2026, Towle Value ETF successfully completed its acquisition of the assets of the Towle Value Fund (TDVFX), formerly a series of Investment Managers Series Trust. View more information in fund documents below. 

WHY PURCHASE THE TOWLE VALUE ETF?

The Towle Way is a data-driven approach that aims to identify mispriced companies where incremental improvements can have a multiplier effect on investment returns. Core differentiators:

Buy Demand

We buy revenue on the cheap, leveraging the power of incremental improvement.

Buy Before

As pre-catalyst investors, we take a data-driven approach to identify conditions ripe for unanticipated positive developments

Buy In

Outperformance requires thinking differently, embracing volatility, and fully committing to the process

METHODOLOGY

The Fund follows a disciplined, value-driven investment process rooted in the belief that investor biases create persistent market inefficiencies. By systematically acting on these inefficiencies, the Fund seeks to unlock opportunities for long-term capital appreciation. A core tenet of the Fund’s strategy is Towle’s independent, contrarian mindset, which actively challenges market consensus. Towle focuses on investments that are out-of-favor due to adverse business developments, industry-specific downturns, short-term earnings misses, unfavorable market sentiment,  or  other  temporary factors. The strategy emphasizes identifying opportunities ahead of anticipated catalysts where even modest improvements in profitability can drive significant earnings expansion and stock price appreciation.

The Fund’s investment universe starts with publicly traded equity securities listed on a U.S. exchange. Next, Towle applies proprietary quantitative screens to assess liquidity, short interest, historical earnings, performance, and other factorsCompanies primarily engaged in tobacco, liquor, or gaming are then excluded. Following this, additional screening criteria are used to evaluate the attractiveness of potential investments as described above. The Fund generally holds between 30 and 100 positions. The investment process tends to favor smaller companies – typically those with market capitalizations under $15 billion – operating in cyclical industries such as manufacturing, distribution, consumer products, transportation, materials, and energy, but may invest in companies of any capitalization in any industry.  

FUND DOCUMENTS

Fund details

CURRENT NAV** AND MARKET PRICE

MONTH-END PERFORMANCE

Fund_Ticker Type YTD 1 Month 3 Month 6 Month 1 Year 3 Year 5 Year 10 Year Since Inception As of Date
TCV MKT 9.9 -0.11 7.8 13.1 18.48 3.39 5.19 9.52 8.95 02/28/2026
TCV NAV 9.9 -0.11 7.8 13.1 18.48 3.39 5.19 9.52 8.95 02/28/2026

QUARTER-END PERFORMANCE

Fund_Ticker Type YTD 1 Month 3 Month 6 Month 1 Year 3 Year 5 Year 10 Year Since Inception As of Date
TCV MKT 1.50 -1.91 1.25 8.45 1.50 3.20 6.28 7.8 8.33 12/31/2025
TCV NAV 1.50 -1.91 1.25 8.45 1.50 3.20 6.28 7.8 8.33 12/31/2025

The performance data quoted represents past performance and is no guarantee of future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. 

Market price returns are based upon the closing composite market price and do not represent the returns you would receive if you traded shares at other times. Returns are average annualized total returns, except those for periods of less than one year, which are cumulative. YTD is year-to-date and ITD is inception-to-date.

The Fund acquired all of the assets and assumed the liabilities of the Towle Value Fund, a series of Investment Managers Series Trust (the “Predecessor Fund”), as of immediately after the close of business on March 13, 2026 (the “Reorganization”), and the Fund assumed the financial and performance history of the Predecessor Fund. The Predecessor Fund had the same investment objective and substantially the same strategies as the Fund. Performance results shown in the performance table above for periods prior to March 13, 2026 is that of the Predecessor Fund. The Predecessor Fund’s past performance is not necessarily an indication of how the Fund will perform in the future.

Historical Premium/Discount

COMPLETED CALENDAR QUARTERS OF CURRENT YEAR

Year Quarter Days Traded at Premium Days Traded at Discount
2,026 1 6 5

MOST RECENT COMPLETED CALENDAR YEAR

Days Traded at Premium Days traded at Discount

FUND DISTRIBUTIONS

Ex_Date Record_Date Payable_Date Income Short_Term_Capital_Gain Long_Term_Capital_Gain Total_Capital_Gain Total_Distribution
12/14/2012 12/13/2012 12/14/2012 0.01 0.00787 0.00787 0.01
12/06/2013 12/05/2013 12/06/2013 0.26358 0.44704 0.71062 0.71
12/05/2014 12/04/2014 12/05/2014 0.49477 0.49477 0.49
12/08/2015 12/07/2015 12/08/2015 0.56291 0.56291 0.56
12/06/2017 12/05/2017 12/06/2017 0.05 4.18014 4.18014 4.23
12/06/2018 12/04/2018 12/06/2018 0.50541 0.80323 1.30864 1.31
12/05/2019 12/04/2019 12/05/2019 0.13 0.13
12/08/2020 12/07/2020 12/08/2020 0.01 0.01
12/06/2022 12/05/2022 12/06/2022 1.35605 1.35605 1.36
12/05/2023 12/04/2023 12/05/2023 0.14 0.27462 0.27462 0.42
12/05/2024 12/04/2024 12/05/2024 0.07 2.03581 2.03581 2.11
12/05/2025 12/04/2025 12/05/2025 0.07 0.07
03/11/2026 03/10/2026 03/11/2026 0.01 0.01

FUND HOLDINGS ****

Ticker Name CUSIP Shares Price Market Value ($mm) % of Net Assets EFFECTIVE_DATE
GOLD Gold.com Inc 00181T107 148,603 41.81 6.21 3.5 04/02/2026
AMR Alpha Metallurgical Resources Inc 020764106 27,974 198.33 5.55 3.13 04/02/2026
ARCB ArcBest Corp 03937C105 54,080 99.66 5.39 3.04 04/02/2026
ARW Arrow Electronics Inc 042735100 31,293 146.63 4.59 2.59 04/02/2026
BLMN Bloomin' Brands Inc 094235108 541,623 5.48 2.97 1.67 04/02/2026
BXC BlueLinx Holdings Inc 09624H208 73,502 53.79 3.95 2.23 04/02/2026
BWA BorgWarner Inc 099724106 92,561 54.57 5.05 2.85 04/02/2026
CFFN Capitol Federal Financial Inc 14057J101 323,132 7.20 2.33 1.31 04/02/2026
COMP Compass Inc 20464U100 440,275 7.18 3.16 1.78 04/02/2026
DLX Deluxe Corp 248019101 196,919 27.91 5.50 3.1 04/02/2026
EBC Eastern Bankshares Inc 27627N105 108,389 19.78 2.14 1.21 04/02/2026
FGXXX First American Government Obligations Fund 12/01/2031 31846V336 4,321,793 100.00 4.32 2.44 04/02/2026
BUSE First Busey Corp 319383204 85,673 25.48 2.18 1.23 04/02/2026
FLR Fluor Corp 343412102 82,808 47.55 3.94 2.22 04/02/2026
FOXF Fox Factory Holding Corp 35138V102 224,372 17.03 3.82 2.15 04/02/2026
HCSG Healthcare Services Group Inc 421906108 205,176 17.85 3.66 2.06 04/02/2026
HOV Hovnanian Enterprises Inc 442487401 42,055 111.49 4.69 2.64 04/02/2026
IMKTA Ingles Markets Inc 457030104 49,269 90.21 4.44 2.51 04/02/2026
NSP Insperity Inc 45778Q107 116,072 27.04 3.14 1.77 04/02/2026
LEA Lear Corp 521865204 38,083 122.06 4.65 2.62 04/02/2026
LEG Leggett & Platt Inc 524660107 419,269 9.84 4.13 2.33 04/02/2026
LBRT Liberty Energy Inc 53115L104 183,839 27.92 5.13 2.89 04/02/2026
MGA Magna International Inc 559222401 88,518 56.52 5.00 2.82 04/02/2026
MEI Methode Electronics Inc 591520200 476,893 5.72 2.73 1.54 04/02/2026
MOH Molina Healthcare Inc 60855R100 26,477 135.82 3.60 2.03 04/02/2026
NOV NOV Inc 62955J103 222,169 18.67 4.15 2.34 04/02/2026
OSCR Oscar Health Inc 687793109 279,372 11.73 3.28 1.85 04/02/2026
OSK Oshkosh Corp 688239201 31,878 149.05 4.75 2.68 04/02/2026
PBF PBF Energy Inc 69318G106 169,971 46.09 7.83 4.42 04/02/2026
PARR Par Pacific Holdings Inc 69888T207 77,289 61.67 4.77 2.69 04/02/2026
BTU Peabody Energy Corp 704551100 134,847 32.86 4.43 2.5 04/02/2026
PUMP ProPetro Holding Corp 74347M108 466,349 13.50 6.30 3.55 04/02/2026
PB Prosperity Bancshares Inc 743606105 30,747 67.37 2.07 1.17 04/02/2026
RYZ Ryerson Holding Corp 783754104 174,503 22.61 3.95 2.22 04/02/2026
SCL Stepan Co 858586100 72,344 50.01 3.62 2.04 04/02/2026
SNX TD SYNNEX Corp 87162W100 26,083 186.29 4.86 2.74 04/02/2026
TWI Titan International Inc 88830M102 417,337 7.08 2.95 1.67 04/02/2026
UNFI United Natural Foods Inc 911163103 146,590 44.82 6.57 3.7 04/02/2026
WNC Wabash National Corp 929566107 411,742 8.50 3.50 1.97 04/02/2026
ZUMZ Zumiez Inc 989817101 164,891 22.05 3.64 2.05 04/02/2026
Cash&Other Cash & Other -55,706 1.00 -0.06 -0.03 04/02/2026
ADNT Adient PLC G0084W101 175,508 20.83 3.66 2.06 04/02/2026
BG Bunge Global SA H11356104 37,849 128.32 4.86 2.74 04/02/2026
****Holdings are subject to change