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LRGE

ClearBridge Large Cap Growth Select ETF

As of 01/09/2026

NAV 1

$83.54

$0.54 (0.65%)
 

Market Price 1

$83.54

$0.55 (0.66%)
 

YTD Total Return At NAV 2

1.48%

 
 

YTD Total Return At Market Price

1.46%

 

The following changes to the fund were effective August 1, 2025:
Name change from ClearBridge Large Cap Growth ESG ETF to ClearBridge Large Cap Growth Select ETF;  Sub-classification change to “non-diversified company”; use of “manager of managers” structure; change to the 80% names rule investment policy; and the fund no longer pursues a specific environmental, social and governance (ESG) strategy where ESG criteria are determinative factors for security selection. Refer to the fund’s prospectus for more information

Overview

ClearBridge Investments logo

Fund Description

ClearBridge Large Cap Growth Select ETF (LRGE) is an actively managed strategy that seeks to achieve long-term capital appreciation through investing in large-capitalization companies with the potential for high future earnings growth.

 

Strategy Differentiators:

  • High-conviction stock selection. Takes a fundamental, bottom-up approach to identify a concentrated portfolio of securities.
  • Durable growth: Focus on large cap companies with strong growth characteristics that may persist during various market cycles.
  • Access to a proven approach: With a legacy dating back over 50 years, ClearBridge Investments is a leading global equity manager committed to delivering distinctive long-term results.

Meet Your Manager

ClearBridge Investments

ClearBridge Investments is a well-established global investment manager focusing on proprietary research and fundamental investing. With over 60 years of experience building portfolios for clients seeking income solutions, high active share or low-volatility, long-tenured portfolio managers provide strong leadership in a centralized investment structure.

Fund Information
Asset Class 
Equity
Total Net Assets  As of 01/09/2026 (Updated Daily)
$439.74 Million
Fund Inception Date 
05/22/2017
Fiscal Year End 
March 31
Listing Exchange 
NASDAQ - XNMS
Benchmark 
Russell 1000 Growth Index
Trustee 
The Bank of New York Mellon
Morningstar Category3 
Large Growth
Lipper Classification 
N/A
Dividends & Yields
Dividend Frequency, if any 
Annually
Distribution Rate at NAV  As of 01/09/2026 (Updated Daily)
0.13%
Expenses & Fees
As of 08/01/2025
Gross Expense Ratio4 
0.48%
Net Expense Ratio45 
0.48%
Identifiers
Ticker 
LRGE
IOPV / IIV Ticker6 
LRGE.IV
Benchmark Ticker 
RU10GRTR
CUSIP Code 
524682200
Trading Characteristics
As of 01/09/2026 (Updated Daily)
Creation/Redemption Fee (estimated) 
$250
Creation Unit Size (Number of Shares) 
50,000
Shares Outstanding 
5,263,748
Daily Volume 
43,698
20-Day Average Volume 
15083.25

Portfolio Managers

Margaret Vitrano

Florida, United States

Managed Fund Since 2017

Erica Furfaro

New York, United States

Managed Fund Since 2024

Performance

Portfolio

Portfolio Holdings

Distributions & Tax

Distributions

Distribution Schedules

Dividend Frequency, if any  This fund is an ex-Dividend fund
Annually
Capital Gain Distributions 
December

Distributions are not guaranteed and are subject to change.

Final composition of the current year’s distribution—income, capital gains and/or return of capital—are based on US tax rules and will be determined by February of the following year. For tax characterization of a distribution, such as return of capital and tax-exempt income, click on the “Tax Information” tab above.

Distributions Per Share

Current Year Distributions Per Share
Distributions with future dates are estimates and those figures are not final
Record Date  
12/26/2025
Ex-Dividend Date  
12/26/2025
Reinvestment Date  
12/26/2025
Payable Date  
12/31/2025
Reinvestment Price  
$83.45000
Long-Term Capital Gains  
$0.00000
Short-Term Capital Gains  
$0.00000
Income  
$0.10449
Total Distribution Per Share  
$0.10449

Annually, a fund must distribute all realized capital gains net of realized losses, so the fund will not be subject to an entity level income tax. A fund’s capital gain distribution in a particular year may be a result of the disposition of holdings that appreciated in value during prior years. Thus, while the fund may gain or lose value over the course of a year, a capital gain distribution paid by the fund may not be indicative of current performance of the fund.

The distributable amount of net capital gains are paid on a per-share basis to all investors who hold shares of the fund on the record date of the distribution and are recognized by the shareholder for tax purposes as of the ex-date of the distribution, regardless of when the gains or losses arose in the fund. Net gains on holdings held long term by the fund would be distributed to shareholders as a long-term capital gain distribution no matter how long the shareholder has owned shares in the fund.

Refer to the fund’s annual report or statement of additional information for specific information regarding distributions.

Tax Information

Tax Information

Federal ID Number 81-5332107
For information on tax years prior to 2008, please contact us

2025 tax information will be available in early February

These amounts represent distributions paid by the fund, foreign taxes passed through (if any), and other distribution characteristics for the calendar year selected. These amounts are reported to shareholders on Form 1099-DIV.
Distributions per Share ($)
2024 fund-specific tax information should be available by January 31, 2025.

Pricing

Pricing

Pricing History Chart

As of 01/09/2026 Updated Daily

Daily Fund Prices

As of 01/09/2026

Share Prices

As of 01/09/2026
NAV1 (Net Asset Value)
$83.54
NAV Change1 
$0.54
NAV Change (%)1 
0.65%
Market Price1 
$83.54
Market Price Change1 
$0.55
Market Price Change (%)1 
0.66%

52-Week Range

Highest NAV 
$86.85
Highest Market Price 
$86.83
Lowest NAV 
$62.64
Lowest Market Price 
$62.75

Premium / Discount

As of 01/09/2026
30-Day Median Bid/Ask Spread 
0.13%
Bid / Ask Spread 
$0.13
Avg. of Market Price vs. NAV at Close9 
0.00%

Premium/Discount Analysis

Premium/Discount Analysis 9

As of 01/01/2025 Updated Quarterly
Total Days in Period 
248
Days at NAV 
25
Days at Premium 
72
Days at Discount 
151
Greatest Premium  On 12/31/2025
$0.18
Greatest Discount  On 12/29/2025
$-0.01

Chart

Bar chart with 3 bars.
The chart has 1 X axis displaying categories.
The chart has 1 Y axis displaying values. Data ranges from 1 to 150.
End of interactive chart.
Premium/Discount Analysis Breakdown
0% to 0.5% 72 days
-0.5% to 0% 150 days
-1% to -0.5% 1 days

Historical Premium/Discount 10

As of 01/09/2026 Updated Daily

Documents

Fund Literature

PDF Format

Factsheet

Public

Regulatory Documents

PDF Format

Summary Prospectus

Public
PDF Format

Prospectus

Public
PDF Format

Statement Of Additional Information

Public
PDF Format

Fiscal Q1 Holdings

Public
PDF Format

Fiscal Q3 Holdings

Public
PDF Format

Semi-Annual Financial Statements And Other Information

Public
PDF Format

Annual Financial Statements And Other Information

Public

Risks

What Are the Risks?

All investments involve risks, including possible loss of principal. Equity securities are subject to price fluctuation and possible loss of principal. Large-capitalization companies may fall out of favor with investors based on market and economic conditions. International investments are subject to special risks, including currency fluctuations and social, economic and political uncertainties, which could increase volatility. These risks are magnified in emerging markets. The portfolio is, or could become, non-diversified and may invest in a relatively small number of issuers, which may negatively impact the performance and result in greater fluctuation in value. The manager may consider environmental, social and governance (ESG) criteria in the research or investment process; however, ESG considerations may not be a determinative factor in security selection. In addition, the manager may not assess every investment for ESG criteria, and not every ESG factor may be identified or evaluated. These and other risks are discussed in the fund's prospectus.