CSNR

Cohen & Steers
Natural Resources Active ETF

Growth and inflation protection amid the era of scarcity from an actively managed portfolio of companies involved in the production, extraction, or processing of commodities and natural resources. This includes the energy value chain, metals and mining and agriculture businesses packaged within a proprietary risk parity allocation framework.

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High total return potential amid regime change

Significant recent under-investment in natural resources creates supply constraints amidst accelerating demand for commodities and low valuations

Inflation hedging

Natural resource equities have historically tended to perform well in times of rising and unexpected inflation, periods when traditional assets tend to underperform

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Excess return potential

Active management in a sector displaying significant return dispersion and distinct characteristics coupled with risk parity sector allocation