# Virtus Duff & Phelps Clean Energy ETF (VCLN) ETF

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> **Last updated:** 2026-03-15 UTC  
> **Disclaimer:** This is not financial advice. Educational purposes only.

## Quick Answer

The Virtus Duff & Phelps Clean Energy ETF (VCLN) is an actively managed sector equity fund with $0.01 billion in assets under management. VCLN focuses on global companies involved in clean, renewable, and sustainable energy. With an expense ratio of 0.59%, VCLN targets market leaders at the forefront of clean energy innovation, differentiating itself through active stock selection within the clean energy sector. Past performance does not guarantee future results.

## Fund Snapshot

- **Fund Name:** Virtus Duff & Phelps Clean Energy ETF
- **Symbol:** VCLN
- **Asset Class:** Sector Equity
- **Issuer:** Virtus
- **Domicile:** US
- **Expense Ratio:** 0.59%
- **NAV:** $28.05
- **AUM:** $5.61M
- **Inception Date:** 2021-08-03
- **Holdings Count:** 189
- **Dividend Yield:** 0.00%
- **Beta:** 1.47

## About Virtus Duff & Phelps Clean Energy ETF

The Fund seeks attractive total returns by investing globally in a portfolio of clean, renewable, and sustainable companies and technologies that will power the energy needs of the future. Actively managed, the Fund focuses on well-positioned market leaders at the forefront of clean energy innovation and commercialization.

## Investment Strategy

VCLN aims for total returns by investing in companies involved in clean, renewable, and sustainable energy. The ETF is actively managed, allowing the fund managers to select companies they believe are well-positioned in the clean energy sector. VCLN's portfolio consists of 189 holdings, providing exposure to a diverse range of companies within the clean energy space. The fund's top holdings include Bloom Energy Corp Class A (9.41%), Nextpower Inc Class A (8.72%), and First Solar Inc (5.71%). Sector allocation is heavily weighted towards Utilities (43.5%), Industrials (29.6%), and Technology (25.9%). The fund offers global exposure, with a significant portion of its assets invested in the United States (46.2%), followed by China (8.3%) and Spain (8.0%). This ETF may appeal to investors seeking targeted exposure to the clean energy sector through active management. Past performance does not guarantee future results.

## Risk Profile

VCLN's concentration in its top holdings presents a risk, with Bloom Energy Corp Class A and Nextpower Inc Class A accounting for a significant portion of the fund's assets. The fund's sector allocation also introduces risk, as it is heavily concentrated in Utilities, Industrials, and Technology, making it susceptible to sector-specific downturns. With a beta of 1.47, VCLN is more volatile than the broader market. The expense ratio of 0.59% can create a drag on performance, especially relative to lower-cost passive alternatives. The fund's relatively small AUM of $0.01 billion could pose liquidity risks. Past performance does not guarantee future results.

## Top Holdings

- [Bloom Energy Corp Class A (BE)](https://www.stockexpertai.com/stock/be) — **Weight:** 9.41%
- [Nextpower Inc Class A (NXT)](https://www.stockexpertai.com/stock/nxt) — **Weight:** 8.72%
- [First Solar Inc (FSLR)](https://www.stockexpertai.com/stock/fslr) — **Weight:** 5.71%
- [Iberdrola SA (IBE.MC)](https://www.stockexpertai.com/stock/ibe.mc) — **Weight:** 5.28%
- [China Yangtze Power Co Ltd Class A (600900.SS)](https://www.stockexpertai.com/stock/600900.ss) — **Weight:** 3.99%
- [Clearway Energy Inc Class C (CWEN)](https://www.stockexpertai.com/stock/cwen) — **Weight:** 3.59%
- [Enphase Energy Inc (ENPH)](https://www.stockexpertai.com/stock/enph) — **Weight:** 3.30%
- [EDP-Energias De Portugal SA (EDP.LS)](https://www.stockexpertai.com/stock/edp.ls) — **Weight:** 3.15%
- [Ormat Technologies Inc (ORA)](https://www.stockexpertai.com/stock/ora) — **Weight:** 2.94%
- [Prysmian SpA (PRY.MI)](https://www.stockexpertai.com/stock/pry.mi) — **Weight:** 2.42%

## Sector Allocation

- Utilities: 43.5%
- Industrials: 29.6%
- Technology: 25.9%
- Energy: 1.1%

## Country Allocation

- United States: 46.2%
- China: 8.3%
- Spain: 8.0%
- Brazil: 6.0%
- Italy: 4.9%
- United Kingdom: 3.4%
- Denmark: 3.1%
- Portugal: 3.0%
- Other: 2.8%
- Finland: 2.5%
- Switzerland: 1.6%
- Ireland: 1.5%
- Germany: 1.4%
- France: 1.4%
- Austria: 1.4%

## Market Context

VCLN operates within the sector equity landscape, specifically targeting the clean energy sector. This sector is influenced by government policies, technological advancements, and increasing environmental awareness. The ETF faces competition from other clean energy ETFs, some of which may have lower expense ratios or different investment strategies. As the demand for renewable energy solutions grows, VCLN aims to capitalize on this trend by investing in companies driving the clean energy transition. Macroeconomic factors, such as interest rates and inflation, can also impact the performance of companies within the clean energy sector. Past performance does not guarantee future results.

## Frequently Asked Questions

### What is VCLN and what does it track?

The Virtus Duff & Phelps Clean Energy ETF (VCLN) is an actively managed fund that invests in global companies involved in clean, renewable, and sustainable energy. VCLN does not track a specific index; instead, it uses an active management approach to select companies believed to be well-positioned in the clean energy sector. The fund's objective is to achieve attractive total returns by focusing on market leaders at the forefront of clean energy innovation. As of 2026-03-15, VCLN has 189 holdings and approximately $0.01 billion in assets under management. Past performance does not guarantee future results.

### What is the expense ratio for VCLN?

The expense ratio for VCLN is 0.59%. This means that for every $10,000 invested in the fund, $59 is used to cover the fund's operating expenses annually. While there isn't a specific category average readily available for actively managed clean energy ETFs, the expense ratio is higher than passively managed broad market ETFs, but may be competitive with other actively managed funds in the sector. Investors should consider the expense ratio as a factor when evaluating the overall cost of investing in VCLN. Past performance does not guarantee future results.

### What are the top holdings in VCLN?

As of 2026-03-15, the top holdings in VCLN are: Bloom Energy Corp Class A (9.41%), Nextpower Inc Class A (8.72%), and First Solar Inc (5.71%). Iberdrola SA (5.28%) and China Yangtze Power Co Ltd Class A (3.99%) also constitute significant portions of the fund. These top holdings reflect VCLN's focus on companies involved in various aspects of the clean energy sector, including solar energy, energy storage, and renewable energy infrastructure. The concentration in these top holdings can impact the fund's performance. Past performance does not guarantee future results.

### Is VCLN a good long-term investment?

VCLN's suitability as a long-term investment depends on an individual investor's risk tolerance and investment goals. The fund provides targeted exposure to the clean energy sector, which may benefit from long-term trends such as increasing demand for renewable energy and government support for clean energy initiatives. However, the fund's higher beta of 1.47 indicates greater volatility compared to the broader market. Investors should also consider the fund's expense ratio of 0.59% and its relatively small AUM of $0.01 billion when evaluating its long-term potential. Past performance does not guarantee future results.

### How does VCLN compare to similar ETFs?

VCLN distinguishes itself through its active management approach, which differentiates it from passively managed clean energy ETFs. While specific comparisons require identifying direct competitors, VCLN's expense ratio of 0.59% should be compared to similar actively managed funds in the sector. The fund's AUM of $0.01 billion may be smaller than some of its competitors, which could impact liquidity. VCLN's investment strategy focuses on well-positioned market leaders in clean energy, while other ETFs may have different approaches, such as focusing on specific sub-sectors or geographic regions. Past performance does not guarantee future results.

### Does VCLN pay dividends?

As of 2026-03-15, the Virtus Duff & Phelps Clean Energy ETF (VCLN) has a dividend yield of 0.00%. This indicates that the fund is not currently distributing any dividends to its shareholders. The fund's focus on growth-oriented companies in the clean energy sector may contribute to its decision to reinvest earnings rather than distribute them as dividends. Investors seeking income may need to consider other investment options. Past performance does not guarantee future results.

## Data Sources

- Yahoo Finance (ETF bundle)
- Issuer prospectus
- Stock Expert AI proprietary analysis

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