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Tema ETFs (“Tema”), an institutional-quality and actively managed exchange-traded fund provider, said it has surpassed $2 billion in assets under management (AUM). The milestone comes less than eight months after the firm surpassed $1 billion in AUM, and less than three years after it listed its first ETF with under $5 million in seed capital.
Tema said the Tema Space Innovators ETF (NASA) was launched as the first pure-play space ETF to offer direct SpaceX exposure. According to the firm, NASA surpassed $100 million in AUM within its first 10 trading days.
“2026 has been an exciting year for Tema, with Steve Munroe joining as President and driving meaningful growth and innovation. Nowhere is that more evident than with our Space Innovators ETF (NASA), which surpassed $100 million in its first 10 trading days,” said Maurits Pot, Founder and CEO of Tema. “I continue to be most impressed by the investment performance of our product lineup, with multiple funds ranking as or among their Morningstar category leaders so far this year.”
Tema cited Morningstar category percentile rankings, year-to-date as of April 14, 2026, including:
Tema said it builds institutional-quality ETF solutions across market environments, including high-conviction growth opportunities, durable core exposures, and alternatives. Founded in 2022, the firm is led by veterans of the ETF and global asset management industry and is backed by Index Ventures, Accel Partners, Zinal Growth, and more than a dozen financial services CEOs and fintech founders.
Carefully consider the Fund’s investment objectives, risk factors, charges and expenses before investing. This and additional information can be found in the Fund’s prospectus or summary prospectus, available at www.temaetfs.com. Read the prospectus carefully before investing.
Investing involves risk, including possible loss of principal, and there is no guarantee the adviser’s investment strategy will be successful.
Risk factors cited include sector focus risk, electric companies’ regulatory and infrastructure-related risks, materials companies’ exposure to commodity prices and other macroeconomic factors, foreign and emerging markets risks (including currency risk), and the possibility that ESG-based evaluation may cause the Fund to forego some market opportunities.

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