Brown Advisory ETFs

Brown Advisory runs 4 US-listed ETFs with $2.8B in assets. The largest is Brown Advisory Flexible Equity ETF (BAFE) at $1.8B. The cheapest with at least $50M in assets is BAFE at 0.54%. The median fund charges 0.60%.

Funds
4
1 issuer
Assets
$2.8B
Median fee
0.60%
0.54% to 0.71%
Median 1-year return
+11.1%
price return
Net flows, May 2026
+$12M
from SEC filings
Best 1-year return
+11.9%
BASV, $50M+ in assets

Net flows by month

through Jun 2026SEC filings

Net creations across these funds as reported in SEC filings. The most recent months only include funds that have filed for them; funds whose filing covers other share classes are left out.

View as a table
Net flows of Brown Advisory ETFs by month, Oct 2024 to Jun 2026
MonthCreationsRedemptionsNet flowFunds reporting
Jun 2026$61M$57M+$4.6M4
May 2026$42M$30M+$12M4
Apr 2026$126M$90M+$36M4
Mar 2026$108M$82M+$26M4
Feb 2026$75M$39M+$36M4
Jan 2026$302M$52M+$250M4
Dec 2025$63M$23M+$40M3
Nov 2025$63M$36M+$27M3
Oct 2025$76M$19M+$57M3
Sep 2025$141M$28M+$114M3
Aug 2025$66M$22M+$45M3
Jul 2025$62M$25M+$36M3
Jun 2025$73M$26M+$47M3
May 2025$90M$26M+$64M3
Apr 2025$491M$78M+$413M3
Mar 2025$48M$17M+$31M1
Feb 2025$29M$0+$29M1
Jan 2025$55M$25M+$29M1
Dec 2024$0$0$01
Nov 2024$0$0$01
Oct 2024$39M$2.7M+$36M1

All Brown Advisory ETFs

# Fund Category Fee Assets YTD 1Y Yield 3M flow Score Holdings as of
1 BAFEBrown Advisory Flexible Equity ETFActive Large Cap Blend 0.54% $1.8B +10.6% +11.1% 0.27% −$4.6M 50 Jun 30, 2026 SEC
2 BASGBrown Advisory Sustainable Growth ETFActive ESG & Values 0.61% $494M +13.1% +8.7% — −$11M 34 Jun 30, 2026 SEC
3 BASVBrown Advisory Sustainable Value ETFActive ESG & Values 0.71% $408M +10.0% +11.9% 0.38% +$35M 32 Jun 30, 2026 SEC
4 BAIVBrown Advisory International Value Select ETFActive Developed ex-US 0.60% $108M — — — +$34M 40 Jun 30, 2026 SEC

Sorted by assets; click a column to re-sort. 3M flow is each fund's latest three reported months. Returns are price returns and exclude distributions.

Categories Brown Advisory offers

Fund data comes from each fund's SEC filings and issuer disclosures and is shown with the date it is as of. SEC portfolio and flow filings become public about 60 days after the period they cover. Nothing here is investment advice; see Terms.