Distillate International Fundamental
Stability & Value ETF | Ticker DSTX

Distillate International Fundamental Stability & Value ETF | DSTX Process

DSTX adheres to a systematic process, including only those stocks that meet the firm’s proprietary cash-flow-based valuation and quality criteria.

  • DSTX begins with a starting universe of more than 1,200 large, profitable non-U.S. stocks.
  • Our security selection focuses on stocks with low debt levels and stable cash flows.
  • We then invest in the most attractively valued remaining 100 companies based on Distillate Capital’s normalized free cash flow methodology.
  • The portfolio is weighted by free cash flow generation and is rebalanced quarterly.

As of 05/04/2026

Ticker DSTX
NAV 33.56
Market Price 33.38
Net Assets $50,339,152
Shares Outstanding 1,500,000
30-day SEC Yield as of 2/28/2026 1.98%
Inception 12/14/2020
Primary Exchange NYSE
CUSIP 26922B501
Expense Ratio 0.55%
Premium/Discount % -0.53
Median 30-day Bid/Ask Spread 0.17%

The 30-day SEC yield represents the dividends and interest earned over the preceding 30-day period, annualized, and divided by the net asset value (NAV) per share at the end of the period.

Median 30-Day Spread is a calculation of Fund’s median bid-ask spread, expressed as a percentage rounded to the nearest hundredth, computed by: identifying the Fund’s national best bid and national best offer as of the end of each 10 second interval during each trading day of the last 30 calendar days; dividing the difference between each such bid and offer by the midpoint of the national best bid and national best offer; and identifying the median of those values.

GROWTH OF $10,000
SINCE INCEPTION

12/14/2020-3/31/2026

This chart illustrates the performance of a hypothetical $10,000 investment made on 12/14/2020, and is not intended to imply any future performance. The returns shown do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares. The chart assumes reinvestment of capital gains and dividends.

PERFORMANCE

As of 04/30/2026

YTD 1 YR1 3 YR SINCE INCEPTION2
1DSTX NAV 5.69% 32.92% 17.06% 8.22%
2DSTX MKT 6.63% 33.89% 17.19% 8.36%
3Morningstar Global Markets ex-US NR USD 8.97%  32.46% 17.26% 9.49%

Fund expense ratio: 0.55%

1Performance greater than 1 year is annualized.
2Inception 12/14/20.

Performance data quoted represents past performance and does not guarantee future results. Investment returns and principal value will fluctuate, and when sold, may be worth more or less than their original cost. Performance current to the most recent month-end may be lower or higher than the performance quoted and can be obtained by calling 800.617.0004. Market price returns are based on price of the last reported trade on the fund’s primary exchange where the shares are listed. NAV return is the percentage change between the fund’s net asset value (the value of each share’s portion of the fund’s underlying assets and cash at the end of the trading day) at the beginning and end of a particular period.

As of 05/04/2026

 202320242025Q1 2026Q2 2026Q3 2026Q4 2026
Days at premium1671331303815--
Days at zero premium/discount43301--
Days at discount76116118237--

DISTRIBUTIONS

Ex-Date Record Date Payable Date Amount Type
03/26/2026 03/26/2026 03/27/2026 $0.07107 Div Income
12/29/2025 12/29/2025 12/30/2025 $0.47145 Div Income
09/24/2025 09/24/2025 09/25/2025 $0.08061 Div Income
06/25/2025 06/25/2025 06/26/2025 $0.29875 Div Income
03/26/2025 03/26/2025 03/27/2025 $0.07757 Div Income
12/27/2024 12/27/2024 12/30/2024 $0.16308 Div Income
09/25/2024 09/25/2024 09/26/2024 $0.05917 Div Income
06/26/2024 06/26/2024 06/27/2024 $0.29785 Div Income

TOP 10 HOLDINGS

As of 05/05/2026

Percent Net Assets Name Identifier Shares Held Market Value
2.02% America Movil SAB de CV BMVRB77 761,728.00 $1,014,648.14
1.87% Sanofi SA 5671735 10,923.00 $942,392.02
1.85% British American Tobacco PLC 110448107 16,001.00 $933,658.35
1.52% Kia Corp 6490928 7,298.00 $767,345.10
1.50% Cie de Saint-Gobain SA 7380482 8,564.00 $753,004.73
1.49% Geely Automobile Holdings Ltd 6531827 256,000.00 $752,330.80
1.49% United Microelectronics Corp 6916628 293,000.00 $752,529.61
1.48% JD.com Inc BKPQZT6 50,050.00 $746,294.91
1.43% HD Hyundai Co Ltd BD4HFT1 3,487.00 $720,184.00
1.42% Roche Holding AG 771195104 14,253.00 $716,640.84
1.41% CANADIAN NAT RES LTD 2171573 14,934.00 $710,568.03
1.41% Vinci SA B1XH026 4,828.00 $711,097.27
1.39% Sea Ltd 81141R100 8,181.00 $698,739.21
1.38% Grupo Mexico SAB de CV 2643674 64,134.00 $694,746.73
1.37% London Stock Exchange Group PLC B0SWJX3 5,296.00 $690,857.51
1.35% Heidelberg Materials AG 5120679 3,117.00 $677,323.09
1.32% JD Logistics Inc BNMBPD9 343,800.00 $664,061.58
1.30% Nexi SpA BJ1F880 134,268.00 $653,953.64
1.27% EQT AB BJ7W9K4 19,184.00 $639,335.41
1.24% Rio Tinto Ltd 6220103 5,091.00 $625,205.39
1.23% Kinross Gold Corp B03Z841 21,418.00 $618,530.62
1.22% Constellation Software Inc/Canada B15C4L6 338.00 $613,720.17
1.22% Publicis Groupe SA 4380429 6,588.00 $616,439.10
1.21% PRIO SA/Brazil BYY0144 42,931.00 $608,358.23
1.21% Telefonica Brasil SA B6XFBX3 76,827.00 $607,566.00
1.19% Daikin Industries Ltd 6250724 4,100.00 $596,546.35
1.18% NetEase Inc BM93SF4 25,600.00 $594,478.59
1.17% AKER BP ASA B1L95G3 14,927.00 $587,389.60
1.17% INFOSYS LTD 456788108 48,129.00 $589,098.96
1.14% Capgemini SE 4163437 4,615.00 $573,281.86
1.14% TFI INTERNATIONAL INC BDRXBF4 4,269.00 $574,104.19
1.12% Norsk Hydro ASA B11HK39 49,183.00 $561,810.62
1.11% Adyen NV BZ1HM42 491.00 $558,074.74
1.10% Dassault Systemes SE BM8H5Y5 24,604.00 $555,528.66
1.06% Denso Corp 6640381 44,200.00 $533,365.80
1.04% Yangzijiang Shipbuilding Holdings Ltd B1VT035 151,400.00 $521,045.78
1.03% Bridgestone Corp 6132101 25,100.00 $516,285.33
1.03% Eiffage SA B13X013 3,295.00 $518,677.41
1.01% Otsuka Holdings Co Ltd B5LTM93 7,100.00 $507,142.86
1.01% IMPERIAL BRANDS PLC 0454492 13,328.00 $508,814.68
1.00% NIDEC CORP 6640682 33,100.00 $505,308.12
0.99% Gold Fields Ltd 6280215 11,696.00 $496,207.09
0.97% SCREEN Holdings Co Ltd 6251028 7,400.00 $489,470.33
0.97% TIM SA/Brazil BN71RB6 94,052.00 $489,842.30
0.96% DCC PLC 0242493 6,171.00 $485,559.73
0.96% Northern Star Resources Ltd 6717456 31,957.00 $484,649.39
0.95% Astellas Pharma Inc 6985383 34,000.00 $477,705.63
0.95% Merck KGaA 4741844 3,736.00 $478,525.73
0.95% Pandora A/S B44XTX8 6,102.00 $478,419.52
0.92% Kerry Group PLC 4519579 5,480.00 $463,232.33
0.90% Harmony Gold Mining Co Ltd 6410562 28,607.00 $454,032.37
0.89% IMCD NV BNCBD46 3,779.00 $448,688.78
0.89% Magna International Inc 559222401 7,561.00 $450,181.94
0.89% Sage Group PLC/The B8C3BL0 36,963.00 $446,706.39
0.87% China Mengniu Dairy Co Ltd B01B1L9 199,000.00 $439,249.85
0.87% Open Text Corp 2260824 18,996.00 $439,426.89
0.87% Teleperformance SE 5999330 6,308.00 $438,986.93
0.86% Realtek Semiconductor Corp 6051422 26,000.00 $434,217.39
0.85% Zhejiang Leapmotor Technology Co Ltd BJLVDM7 70,800.00 $429,871.51
0.84% Evolution Mining Ltd B3X0F91 48,261.00 $422,496.21
0.82% Hyundai Glovis Co Ltd B0V3XR5 2,679.00 $412,463.39
0.82% Kuaishou Technology BLC90T0 72,400.00 $410,933.53
0.82% Danone SA B1Y9TB3 5,397.00 $411,984.73
0.82% Euronext NV BNBNSG0 2,438.00 $411,319.02
0.82% Essity AB BF1K7P7 15,649.00 $411,473.24
0.82% Intertek Group PLC 3163836 6,306.00 $410,621.67
0.82% Mowi ASA B02L486 18,548.00 $410,719.67
0.80% Nitto Denko Corp 6641801 21,000.00 $400,401.07
0.80% Genmab A/S 4595739 1,504.00 $402,372.17
0.79% GEA Group AG 4557104 5,877.00 $397,364.25
0.78% TIS Inc B2Q4CR0 18,200.00 $393,823.53
0.78% Shimano Inc 6804820 3,700.00 $392,070.92
0.77% Cemex SAB de CV 2406457 325,263.00 $387,606.08
0.76% Bunzl PLC B0744B3 11,573.00 $381,029.29
0.75% Suntory Beverage & Food Ltd BBD7Q84 13,200.00 $377,142.86
0.75% Suzuki Motor Corp 6865504 33,900.00 $378,321.24
0.75% Secom Co Ltd 6791591 10,300.00 $375,725.74
0.75% Computershare Ltd 6180412 17,081.00 $378,745.67
0.74% Ono Pharmaceutical Co Ltd 6660107 25,200.00 $371,470.59
0.74% Oracle Corp Japan 6141680 6,900.00 $374,518.72
0.73% Telkom Indonesia Persero Tbk PT BD4T6W7 2,218,200.00 $369,061.49
0.73% Wolters Kluwer NV 5671519 4,577.00 $369,323.80
0.71% Bandai Namco Holdings Inc B0JDQD4 15,600.00 $358,319.33
0.71% Unicharm Corp 6911485 61,300.00 $357,466.26
0.71% Beiersdorf AG 5107401 4,345.00 $358,030.60
0.71% Boliden AB BPYTZ57 6,958.00 $358,239.02
0.71% Northam Platinum Holdings Ltd BMZ1NS0 18,488.00 $358,964.73
0.69% Buzzi SpA 5782206 6,547.00 $349,226.48
0.68% Otsuka Corp 6267058 18,900.00 $343,395.72
0.66% Tongcheng Travel Holdings Ltd BGM5R25 146,400.00 $331,557.04
0.66% Autotrader Group PLC BVYVFW2 49,734.00 $333,150.93
0.66% CGI Inc BJ2L575 5,010.00 $333,104.16
0.66% Wipro Ltd 97651M109 166,399.00 $331,134.01
0.63% Kingsoft Corp Ltd B27WRM3 108,400.00 $316,627.67
0.62% Trend Micro Inc/Japan 6125286 9,200.00 $310,649.35
0.60% Samsung SDS Co Ltd BRS2KY0 2,648.00 $301,745.26
0.58% Bureau Veritas SA B28DTJ6 9,562.00 $291,297.76
0.49% Zalando SE BQV0SV7 9,989.00 $244,661.03
0.48% MatsukiyoCocokara & Co B249GC0 16,300.00 $240,587.92
0.48% NetEase Cloud Music Inc BP2TRS6 16,100.00 $243,766.56
0.47% First American Government Obligations Fund 12/01/2031 31846V336 238,305.49 $238,305.49
0.46% Cash & Other Cash&Other 233,151.62 $233,151.62
0.00% Constellation Software Inc/Canada BR52TP7 138.00 $0.00
0.00% BRAZILIAN REAL CASHBRL -7,283.84 $-1,470.95
0.00% BRITISH POUNDS CASHGBP 5.98 $8.11

Holdings are subject to change at any time and should not be considered a recommendation to buy or sell any security.

IMPORTANT INFORMATION

The Funds’ investment objectives, risks, charges, and expenses must be considered carefully before investing. The prospectus contains this and other important information about the investment company. Please read it carefully before investing. A hard copy of the prospectus can be requested by calling 1-800-617-0004.

Investing involves risk, including the possible loss of principal.

Shares of any ETF are bought and sold at market price (not NAV) and may trade at a discount or premium to NAV. Shares are not individually redeemed from the Fund. Brokerage commissions will reduce returns.The NAV of the Fund’s shares is calculated each day the national securities exchanges are open for trading as of the close of regular trading on the New York Stock Exchange (“NYSE”), normally 4:00 p.m. Eastern time (the “NAV Calculation Time”). Market price returns are based on either or both of the last trade of the day before the close of regular trading or the midpoint of the bid/ask spread at 4:00 pm Eastern Time (when NAV is normally determined).

To the extent the Fund invests more heavily in particular sectors of the economy, its performance will be especially sensitive to developments that significantly affect those sectors. Market Capitalization Risk. The securities of small- and mid-capitalization companies may be more vulnerable to adverse issuer, market, political, or economic developments than securities of large-capitalization companies. Foreign Securities Risk: The Fund invests in foreign securities which involve political, economic and currency risks, greater volatility and differences in accounting methods. These risks are greater in emerging markets.

Free Cash Flow (or Cash Flow): Refers to the cash generated by a business after accounting for capital investments required to maintain or grow the business.

Morningstar Global Markets Ex-U.S. Index: An unmanaged index of common stock prices, weighted by market value. Its performance is thought to be representative of the non-U.S. stock market as a whole. It is not possible to invest directly in an index.

The Distillate Capital ETFs are distributed by Quasar Distributors, LLC.