ETF Components for MDYG - SPDR S&P 400 Mid Cap Growth ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
PSTG B 1.55 1.43
CSL C -0.46 1.40
WSM D -0.36 1.32
LII B -0.46 1.25
EME D -2.30 1.25
RS D -0.61 1.16
MANH B 0.65 1.11
OC D -1.61 1.07
WSO B 0.16 1.06
RBA B -0.36 1.02
CASY B -0.24 1.02
NBIX C 0.61 0.97
GGG D -0.37 0.96
NVT D -1.86 0.91
WING B 0.05 0.90
SAIA C -1.27 0.88
BLD D -0.61 0.87
ELF C -0.88 0.87
SRPT C -0.90 0.86
TOL D -2.33 0.86
TTEK D -0.70 0.83
OVV D -2.70 0.83
TXRH B 2.42 0.83
CLH B -0.77 0.82
FIX D -3.06 0.81
WMS D -1.70 0.79
WWD D -1.14 0.78
ONTO B 0.27 0.78
FND F -3.91 0.77
DT F -0.42 0.76
LECO F -0.51 0.76
CHRD C -2.37 0.75
ITT D -0.67 0.75
MEDP C -0.17 0.72
LNW B -0.45 0.69
CHDN B -0.31 0.67
BURL B 0.87 0.66
TPL B -0.03 0.66
SKX C -1.60 0.66
WFRD B -2.99 0.65
CROX C -2.95 0.65
OLED A 0.16 0.65
BMRN C 0.59 0.64
MUSA C 0.15 0.64
CELH F -0.52 0.62
BWXT B -0.38 0.62
KNSL F -0.14 0.61
PR C -4.41 0.59
NYT A -0.06 0.59
TREX F 0.13 0.58
RRC D -2.27 0.58
PRI C -1.10 0.58
TPX D -3.31 0.57
IBKR B -1.23 0.56
ELS C 0.63 0.56
LSCC D -1.67 0.56
RBC C -0.26 0.56
MORN B -0.15 0.55
FCN D -1.91 0.55
DUOL F -0.38 0.55
RPM D -1.28 0.54
HRB B -2.20 0.54
SWN D -2.32 0.53
EXP D -1.25 0.53
AIT C -1.00 0.53
AXTA D -1.23 0.53
SSD F -1.10 0.52
WEX D 0.47 0.52
AMH A 0.38 0.51
CR C -1.23 0.51
MTDR D -3.82 0.50
MSA C -0.42 0.50
HLI A 1.19 0.50
PEN D 2.07 0.49
DKS C 0.58 0.49
CW C -0.37 0.49
H C -0.38 0.48
UFPI D -1.61 0.48
RNR D -0.40 0.47
EXEL C 0.64 0.47
EQH B -1.56 0.47
HALO B -0.87 0.47
RGEN F -0.57 0.47
CIVI D -3.73 0.46
PLNT B -0.11 0.46
ACHC F -1.21 0.45
UTHR B 1.13 0.45
RMBS B 2.38 0.44
FIVE F -2.12 0.44
OLLI B 1.68 0.43
GTLS D -1.70 0.43
LAMR B -0.15 0.43
VNT D -0.68 0.42
AAON B 1.12 0.42
PCTY F 2.05 0.41
VVV B -0.30 0.40
CUBE B 0.72 0.40
ACM D -2.91 0.40
ALTR B 0.74 0.40
ATR D -0.23 0.40
LNTH C -0.84 0.40
XPO C -0.50 0.40
ESAB D -1.33 0.39
EWBC D -3.08 0.39
DBX D -1.33 0.39
APPF B 1.04 0.38
ERIE C 0.13 0.38
QLYS D 1.32 0.38
SCI C -0.53 0.38
GLPI B 1.16 0.37
WTS D -1.09 0.36
COKE B -1.34 0.36
EGP B 0.94 0.36
EVR A 0.84 0.35
DCI D -1.46 0.35
CHE D -0.37 0.35
GNTX D -0.59 0.35
WLK D -1.46 0.34
CNM D -1.10 0.34
BCO B 0.19 0.33
VAL B -0.87 0.33
ALV D -1.70 0.33
TTC C -2.06 0.33
LFUS C -1.22 0.32
LSTR D -2.10 0.32
MTN F 1.08 0.32
WTRG C 2.04 0.32
CCK F -1.49 0.31
RGLD B 1.53 0.31
DTM B -0.71 0.31
CG C -0.74 0.30
CHX C -2.81 0.30
BRBR B 2.55 0.29
MKSI B -0.65 0.29
MMS B 0.08 0.28
EHC B -0.92 0.28
CRUS A 0.57 0.28
WH C -0.63 0.28
LOPE C 0.09 0.28
KBR D -0.75 0.28
CNX C -1.13 0.27
BYD C 0.17 0.27
GXO F -2.49 0.27
HQY B -1.18 0.27
BRKR F -0.29 0.27
REXR C 0.69 0.27
AYI D -1.71 0.27
MTSI A 1.96 0.27
CACI B -0.93 0.26
MASI F 0.52 0.26
COTY F 0.82 0.26
RLI D 0.06 0.26
LPX D -3.47 0.25
OHI B 0.24 0.25
CBT D -1.60 0.25
SLAB D 0.72 0.25
CGNX B 0.25 0.25
NEU D -2.10 0.25
WMG D -0.98 0.24
TDC C -1.42 0.24
MIDD F -1.75 0.24
SFM B -0.16 0.24
NOVT C -0.56 0.24
ARWR C 1.99 0.23
STAG B -0.06 0.23
SEIC D -0.94 0.23
BRX B -0.57 0.22
SIGI F -0.25 0.22
CVLT B -0.93 0.22
PK D -0.75 0.22
NNN B 0.28 0.21
VOYA D -2.54 0.21
EXLS B 0.38 0.21
BC F -0.22 0.21
AM B -0.14 0.21
KEX B -1.22 0.21
FR C 0.36 0.21
CYTK D 2.04 0.20
KNF C 0.76 0.20
FLS D -1.81 0.20
JAZZ F -2.18 0.20
CIEN F -0.38 0.20
HXL D 0.12 0.19
CBSH C -0.81 0.19
OPCH F -0.78 0.19
CFR D -0.76 0.19
DLB D -0.21 0.19
INGR D -0.50 0.19
MAT F -1.28 0.18
EXPO C -0.20 0.18
EEFT D -0.84 0.18
HAE C 0.99 0.18
KBH D -1.07 0.18
MUR D -2.69 0.18
ETRN D -2.00 0.17
OLN F -1.19 0.17
PGNY D 0.64 0.17
PNFP D -1.57 0.17
TNL D -0.69 0.16
OZK D -2.02 0.16
TKR D -1.38 0.15
HWC C -1.78 0.15
SAIC D -1.78 0.15
YETI F -0.05 0.15
MTG B -0.97 0.15
BLKB D -0.74 0.14
MSM F -1.45 0.14
CAR F -1.99 0.14
EPR C 0.22 0.14
POWI D -0.25 0.14
TEX D -1.35 0.14
AZTA D 0.60 0.13
ENS C -1.76 0.13
SLM D -2.59 0.13
CPRI D 0.18 0.13
IDA D -0.09 0.13
LANC B -0.79 0.13
IRDM D -0.97 0.12
NSP F -1.55 0.12
RH D -1.12 0.12
HGV D -0.41 0.12
DOCS B 4.29 0.12
GATX B 0.59 0.12
SHC C 0.86 0.11
FFIN D -1.98 0.11
RYN D -0.54 0.11
WEN F -0.12 0.11
WOLF F 0.55 0.10
CHH B 0.87 0.10
NSA B 0.00 0.10
SYNA F -1.31 0.10
COLM D -0.56 0.09
AMED A -0.05 0.09
SAM C -0.46 0.09
IBOC C -1.22 0.09
VC D -0.28 0.09
SMG D -1.26 0.08
IPGP D -0.26 0.08
LIVN D -0.61 0.08
ZI F 0.16 0.08
MP D -0.64 0.05
ALGM C 0.39 0.05

Recent News for SPDR S&P 400 Mid Cap Growth ETF & its Holdings

Date Stock Title
Jul 5 HRB The State with the Highest Tax Burden in the US
Jul 5 WEX If You Invested $100 In This Stock 15 Years Ago, You Would Have $23,000 Today
Jul 5 IBKR Tame Volatility with These 3 Low Beta Stocks
Jul 5 PR Here's How Much You Would Have Made Owning Permian Resources Stock In The Last 5 Years
Jul 5 VOYA Voya Financial schedules announcement of second-quarter 2024 results
Jul 5 TXRH Sector Update: Consumer Stocks Gain Late Afternoon
Jul 5 KNF Knife River Corporation (NYSE:KNF) Shares Could Be 46% Below Their Intrinsic Value Estimate
Jul 5 SYNA Synaptics Should Snap Back Over The Next Year
Jul 5 CG Carlyle in talks to buy Baxter's kidney care unit, source says
Jul 5 CG Bassett Furniture, USA Compression Partners, and More Stocks See Action From Activist Investors
Jul 5 CVLT 6 Software Companies That Are Beating Chip Stocks This Year
Jul 5 AAON Peering Into AAON's Recent Short Interest
Jul 5 CG Carlyle in Advanced Talks to Acquire Baxter’s Vantive
Jul 5 TXRH Texas Roadhouse Poised For 'Solid' Margin Gains, Earnings Growth in 2024, UBS Says
Jul 5 OLN Olin Corporation: Earnings Could 'Boom' Next Year
Jul 5 EPR EPR Properties: High Upside Potential Outweighs The Risks For Now
Jul 5 TXRH Texas Roadhouse Poised for 'Sustainable' Growth Despite Beef Inflation, UBS Says
Jul 5 EPR These REITs Yield 7% Or More With Track Records Of Dividend Growth
Jul 5 MASI Masimo (MASI) Fights Politan in a Bid to Retain CEO on Board
Jul 5 FIX Comfort Systems USA Surges 52% YTD: What's Next for FIX?
The investment seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index that tracks the performance of medium capitalization exchange traded U.S. equity securities exhibiting "growth" characteristics. The fund employs a replication strategy in seeking to track the performance of the S&P MidCap 400 Growth Index. It generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index. The index measures the performance of the mid-capitalization growth sector in the U.S. equity market. The fund is non-diversified.
Index Fund Investment Management Stock Fund Midcap S&P 400 S&P 400 Mid Cap Index
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