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TCW ETF Trust ETF AnalysisComprehensive ETF analysis for TCW ETF Trust (SLNZ) including NAV, expense ratio, sector breakdown, and holdings data.ETF AnalysisSLNZ
SLNZ
TCW ETF Trust
SLNZ
  1. Home
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TCW ETF Trust Logo

TCW ETF Trust

ETF
🇺🇸SLNZ•NYSE•Fixed Income

Your view on SLNZ

TCW ETF Trust Logo

TCW ETF Trust

ETFTCW
🇺🇸SLNZ•NYSE•Fixed Income
AUM (USD)$222.04M
Expense Ratio0.65%
Holdings331

Sentiment

AUM (USD)

$222.04M

Expense Ratio

0.65%

Holdings

331

Sentiment

SLNZ
TCW ETF Trust
SLNZ

Overview for TCW ETF Trust

Fund Type
ETF
Fund Issuer
TCW
Asset Class
Fixed Income
Sector
Financial Services
Industry
Asset Management - Bonds
Inception Date
June 28, 2013
Domicile
US
Website
tcw.com/Products/ETFs/SLNZ
Fund Type
ETF
Fund Issuer
TCW
Asset Class
Fixed Income
Sector
Financial Services
Industry
Asset Management - Bonds
Inception Date
June 28, 2013
Domicile
US
Website
tcw.com/Products/ETFs/SLNZ
Fund Type
ETF
Fund Issuer
TCW
Asset Class
Fixed Income
Sector
Financial Services
Industry
Asset Management - Bonds
Inception Date
June 28, 2013
Domicile
US
Website
tcw.com/Products/ETFs/SLNZ

About this fund

The TCW Senior Loan ETF (SLNZ) provides attractive diversification benefits given low correlation to traditional fixed income sectors and reduced sensitivity to changes in interest rates due to their floating rate feature. Senior loans seek to offer a more predictable return patt…

SLNZ Stock Price

Key Facts

Fixed Income

Expense Ratio

0.65%

AUM

$222.04M

Fund Details

NAV$45.65 USD
Holdings331
Average Volume5.3K
Inception DateJune 28, 2013
Asset ClassFixed Income
Fund IssuerTCW
DomicileUS
ISINUS29287L8090
CUSIP29287L809
NAV CurrencyUSD

Expense Ratio

0.65%

Assets Under Management

$222.04M

NAV

$45.65 USD

Holdings

331

Average Volume

5.3K

Inception Date

June 28, 2013

Asset Class

Fixed Income

Fund Issuer

TCW

Domicile

US

ISIN

US29287L8090

CUSIP

29287L809

NAV Currency

USD

Expense Ratio

0.65%

Assets Under Management

$222.04M

NAV

$45.65 USD

Holdings

331

Average Volume

5.3K

Inception Date

June 28, 2013

Asset Class

Fixed Income

Fund Issuer

TCW

Domicile

US

ISIN

US29287L8090

CUSIP

29287L809

NAV Currency

USD

Data last updated: Sep 11, 2026, 07:12 AM

Latest headlines and company announcements for this company. Press releases and market coverage, newest first.

News

Latest Market News

this company valued side by side against its closest peers. Peer-relative multiples and operating metrics, so the valuation is read in the context of its own sector rather than in isolation.

News

Latest Market News

What is SLNZ?

TCW ETF Trust (SLNZ) is a Fixed Income fund from TCW, listed since 2013, with $222.0M in assets under management, a 0.65% expense ratio, a NAV of $45.65 USD.

What's in SLNZ? Top 10 holdings

HoldingWeight
Tcw Central Cash Fund Tcw Central Cash Fund Inst10.40%
Tko Worldwide Holdings Llc 2026 Term Loan B0.80%
Peer Holding Iii Bv 2025 Usd Term Loan B4b0.78%
Discovery Global Holdings INC 2026 Usd Term Loan B0.69%
1011778 Bc Unlimited Lblty Co 2024 Term Loan B60.67%
Surf Holdings Llc 2025 Incremental Term Loan0.66%
Jazz Financing Lux Sarl 2026 Term Loan B0.66%
Acadia Healthcare Co INC Term Loan A0.64%
Walmart INC Sr Unsecured 04/35 4.90.64%
Kelso Industries Llc Term Loan0.62%

SLNZ sector breakdown

  • Healthcare 100.00%

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  • VOTETCW Transform 500 ETF
  • AIFDTCW Artificial Intelligence ETF
  • FIXTTCW Core Plus Bond ETF
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