{
 "ticker": "SMOG",
 "name": "VanEck Low Carbon Energy ETF",
 "issuer": "VanEck",
 "desk": "themes",
 "url": "https://etfiq.com/funds/smog",
 "html": "https://etfiq.com/funds/smog",
 "markdown": "https://etfiq.com/funds/smog.md",
 "as_of": "2026-09-11",
 "verdict": "SMOG holds 56 stocks, and 82% of its weight is outside the S&P 500.",
 "key_facts": [
  {
   "key": "already_in_the_s_p_500",
   "label": "Already in the S&P 500",
   "value": "18.0%",
   "source": null,
   "as_of": "2026-09-11",
   "sentence": "SMOG, already in the S&P 500: 18.0%, as of Sep 11, 2026."
  },
  {
   "key": "active_share_vs_the_s_p_500",
   "label": "Active share vs the S&P 500",
   "value": "97.8%",
   "source": null,
   "as_of": "2026-09-11",
   "sentence": "SMOG, active share vs the S&P 500: 97.8%, as of Sep 11, 2026."
  },
  {
   "key": "top_ten_holdings",
   "label": "Top ten holdings",
   "value": "59.0%",
   "source": null,
   "as_of": "2026-09-11",
   "sentence": "SMOG, top ten holdings: 59.0%, as of Sep 11, 2026."
  },
  {
   "key": "total_return_1_year",
   "label": "Total return, 1 year",
   "value": "+17.6%",
   "source": null,
   "as_of": "2026-09-11",
   "sentence": "SMOG, total return, 1 year: +17.6%, as of Sep 11, 2026."
  },
  {
   "key": "net_assets",
   "label": "Net assets",
   "value": "$133m",
   "source": "the issuer daily holdings, added up, as of Sep 10, 2026",
   "as_of": "2026-09-11",
   "sentence": "SMOG, net assets: $133m (the issuer daily holdings, added up, as of Sep 10, 2026)."
  },
  {
   "key": "expense_ratio",
   "label": "Expense ratio",
   "value": "0.64%",
   "source": "485BPOS XBRL, Apr 29, 2026",
   "as_of": "2026-09-11",
   "sentence": "SMOG, expense ratio: 0.64% (485BPOS XBRL, Apr 29, 2026)."
  }
 ],
 "fields": [
  {
   "key": "theme",
   "label": "Theme",
   "value": "Clean energy",
   "source": "ETFIQ, editorial"
  },
  {
   "key": "launched",
   "label": "Launched",
   "value": "Jan 4, 2010",
   "source": null
  },
  {
   "key": "already_in_the_s_p_500_by_weight",
   "label": "Already in the S&P 500, by weight",
   "value": "18.0%",
   "source": "ETFIQ"
  },
  {
   "key": "active_share_vs_the_s_p_500",
   "label": "Active share vs the S&P 500",
   "value": "97.8%",
   "source": "ETFIQ"
  },
  {
   "key": "already_in_the_nasdaq_100_by_weight",
   "label": "Already in the Nasdaq-100, by weight",
   "value": "7.9%",
   "source": "ETFIQ"
  },
  {
   "key": "active_share_vs_the_nasdaq_100",
   "label": "Active share vs the Nasdaq-100",
   "value": "96.5%",
   "source": "ETFIQ"
  },
  {
   "key": "top_ten_holdings_weight",
   "label": "Top ten holdings weight",
   "value": "59.0%",
   "source": null
  },
  {
   "key": "holdings",
   "label": "Holdings",
   "value": "56",
   "source": null
  },
  {
   "key": "holdings_as_of",
   "label": "Holdings as of",
   "value": "Sep 10, 2026",
   "source": "the issuer\u2019s daily file"
  },
  {
   "key": "top_holdings",
   "label": "Top holdings",
   "value": "Iberdrola Sa 8.5%, Tesla Inc 7.9%, Nextera Energy Inc 7.0%, Bloom Energy Corp 6.9%, Enel Spa 6.3%, Vestas Wind Systems A/S 5.8%, Samsung Sdi Co Ltd 5.2%, Byd Co Ltd 5.2%, Kingspan Group Plc 3.1%, First Solar Inc 3.1%",
   "source": null
  },
  {
   "key": "net_assets",
   "label": "Net assets",
   "value": "$133m",
   "source": "the issuer daily holdings, added up, as of Sep 10, 2026"
  },
  {
   "key": "below_its_all_time_high",
   "label": "Below its all-time high",
   "value": "\u221222.4%",
   "source": "ETFIQ"
  },
  {
   "key": "expense_ratio",
   "label": "Expense ratio",
   "value": "0.64%",
   "source": "485BPOS XBRL, Apr 29, 2026"
  },
  {
   "key": "fee_for_the_part_that_differs_from_the_s_p_500_active_expense_ratio",
   "label": "Fee for the part that differs from the S&P 500, active expense ratio",
   "value": "0.65%",
   "source": "ETFIQ"
  },
  {
   "key": "closest_funds_by_holdings_overlap",
   "label": "Closest funds by holdings overlap",
   "value": "VCLN 26%, CTEC 26%, BATT 26%, QCLN 25%, PBD 21%",
   "source": null
  }
 ],
 "periods": [
  {
   "window": "3 months",
   "Total return": "\u22124.2%",
   "S&P 500": "+3.3%",
   "Gap to S&P 500": "\u22127.5 pts",
   "Gap to Nasdaq-100": "\u22123.5 pts"
  },
  {
   "window": "6 months",
   "Total return": "+2.6%",
   "S&P 500": "+16.0%",
   "Gap to S&P 500": "\u221213.4 pts",
   "Gap to Nasdaq-100": "\u221218.1 pts"
  },
  {
   "window": "1 year",
   "Total return": "+17.6%",
   "S&P 500": "+17.5%",
   "Gap to S&P 500": "+0.1 pts",
   "Gap to Nasdaq-100": "\u22125.3 pts"
  },
  {
   "window": "3 years",
   "Total return": "+29.4%",
   "S&P 500": "+77.9%",
   "Gap to S&P 500": "\u221248.5 pts",
   "Gap to Nasdaq-100": "\u221265.7 pts"
  },
  {
   "window": "Since launch",
   "Total return": "+116.5%",
   "S&P 500": "+804.4%",
   "Gap to S&P 500": "\u2212687.9 pts",
   "Gap to Nasdaq-100": "\u22121557.4 pts"
  }
 ],
 "questions": [
  {
   "q": "How much of SMOG is in S&P 500 companies?",
   "a": "By its holdings published by its issuer for Sep 10, 2026, 18% of SMOG by weight is stocks the S&P 500 already holds. Its active share against the index is 98%, so that share is the part doing something different."
  },
  {
   "q": "What does SMOG hold?",
   "a": "56 positions as published by its issuer for Sep 10, 2026, with the top ten at 59% of the fund. The largest are Iberdrola Sa at 8.5%, Tesla Inc at 7.9%, Nextera Energy Inc at 7.0%."
  },
  {
   "q": "Has SMOG beaten the S&P 500?",
   "a": "Over the year to Sep 11, 2026 SMOG returned +17.6% with distributions reinvested, against +17.5% for the S&P 500, so it finished about even with the index by 0.1 points."
  },
  {
   "q": "What does SMOG cost?",
   "a": "The prospectus expense ratio is 0.64% a year. Because 98% of the fund differs from the S&P 500, the fee on that differing part works out at 0.65%."
  }
 ],
 "generated": "2026-09-13",
 "license": "Free to use with attribution. ETFIQ (etfiq.com)."
}