Holdings

Symbol Grade Price % Change Allocation
AVGO D 1.00 9.79
VZ C 0.49 7.13
HD C 1.66 4.02
ORCL A 2.23 3.51
CSCO B 0.34 2.67
ACN B 1.18 2.60
UNH B -0.08 2.43
IBM C 2.84 2.33
TXN C -0.26 2.30
QCOM F 1.50 2.18
MCD D -1.45 2.16
GS B 2.36 1.86
XOM A 0.72 1.82
LOW C 0.67 1.54
MS B 2.32 1.52
JNJ D 0.94 1.50
C B 1.27 1.38
ADI D 0.73 1.30
ABBV F 2.01 1.29
KO D 0.37 1.28
SBUX B 1.76 1.12
MRK F 1.32 1.10
PEP F 0.32 1.09
CVX A 0.45 0.89
PNC B 1.53 0.87
PM A 1.00 0.86
CAT C 1.87 0.82
ABT B 0.15 0.81
USB A 2.24 0.79
AMGN D 0.12 0.68
UNP D 1.28 0.67
HON B -0.55 0.65
TFC B 1.73 0.65
PFE F -0.16 0.62
ETN B 3.34 0.60
BK B 0.90 0.57
O D 0.47 0.55
APD A 0.27 0.55
LMT D 1.20 0.54
CCI C 0.15 0.52
ADP B 1.32 0.51
MET A 2.62 0.50
BMY B 0.19 0.48
PRU B 1.72 0.46
GILD B 0.50 0.46
MDT D 0.83 0.46
SO C -0.10 0.46
MO A 0.58 0.46
MCHP F 1.60 0.45
IPG D 1.34 0.45
GLW B 0.34 0.43
CI D 0.72 0.43
DE C 7.65 0.43
DUK C 0.74 0.42
HPQ B 2.58 0.42
UPS C -0.24 0.40
PH B 1.97 0.39
TGT F 0.28 0.37
WM B 0.72 0.35
HPE B 2.67 0.35
GRMN B 1.71 0.35
MTB A 2.08 0.34
GD D 0.36 0.34
FITB B 0.76 0.33
EMR A 0.46 0.32
ITW B 1.04 0.32
NOC D 0.51 0.31
CVS D 0.06 0.31
TSCO D 1.45 0.31
NTAP C 3.64 0.30
STT A 0.91 0.29
FDX B 1.42 0.28
BDX F 1.28 0.28
EQR C 0.45 0.27
TROW B 0.35 0.27
HBAN B 1.72 0.26
AEP C 0.52 0.26
NSC B 0.97 0.26
STX D 1.48 0.26
RF A 2.08 0.25
PPG F 0.36 0.25
CINF A 1.71 0.24
KMB C 0.77 0.23
CFG B 1.47 0.22
KVUE A 1.68 0.22
NTRS A 0.56 0.21
OKE A 3.14 0.21
MAA B 0.49 0.21
GPC F 0.78 0.21
SYY D 1.09 0.20
NXST D 0.30 0.20
LYB F 0.33 0.20
CMI A 2.22 0.20
LHX B 0.89 0.20
PFG C 0.23 0.19
GIS D 0.19 0.19
EXC C 0.88 0.19
PSX C 0.25 0.19
PAYX B 0.72 0.19
FAST B 0.56 0.19
BBY D 0.69 0.19
KEY B 1.74 0.18
RSG A 0.43 0.18
KMI A 1.98 0.17
FNF D 0.24 0.17
SWKS F 1.13 0.17
PKG A 0.02 0.17
VLO C 0.30 0.16
EIX C 0.60 0.16
AVY D 0.08 0.15
UDR C 1.22 0.15
JNPR D 0.48 0.15
WEC A 1.03 0.15
ETR A 1.35 0.15
ROK B -0.97 0.14
RPM B 0.80 0.14
AMCR C 1.69 0.13
CUBE D 0.90 0.13
CF A 0.44 0.13
BXP D 1.45 0.12
UNM A 3.83 0.12
JEF A 2.63 0.12
CCOI B 3.05 0.12
CAH B 1.45 0.12
DOV B 1.98 0.12
DKS D 1.45 0.12
K A 0.27 0.11
FE C 0.50 0.11
ALLY C 3.49 0.11
ES C 1.15 0.11
LDOS C 2.04 0.11
BR B 0.75 0.11
OHI C 0.75 0.11
ORI A 0.64 0.10
WBS A 1.56 0.10
CLX A -0.17 0.10
HUBB B 3.48 0.10
FHN B 1.03 0.10
EMN D 1.02 0.10
TSN B 1.12 0.09
NNN C -0.14 0.09
WSO A 1.50 0.09
HRB D -0.25 0.09
CMA B 2.70 0.09
HAS D 0.11 0.09
FRT B 0.96 0.09
SNV B 1.06 0.08
CFR B 0.49 0.08
PB B 1.91 0.08
ZION B 1.69 0.08
ADC A -0.73 0.08
GBCI B 0.48 0.07
OC A 1.79 0.07
STWD C 0.51 0.07
BEN C 0.55 0.07
CADE B 1.67 0.07
FAF A -0.21 0.07
CAG D 0.77 0.07
EVRG A -0.31 0.07
SNA B 0.26 0.07
DGX A 0.89 0.07
BAX F 0.92 0.07
GPK D 0.77 0.07
CE F 1.11 0.07
ONB B 1.46 0.07
MAS D 0.99 0.07
DLB B -2.59 0.06
RDN D 0.63 0.06
CHRW B -0.09 0.06
AVT C 1.27 0.06
JHG B 1.57 0.06
SJM D 0.27 0.06
UBSI B 1.62 0.06
FNB B 2.50 0.06
SWK F 1.86 0.06
LNC B 1.52 0.06
FMC D 0.69 0.06
COLB B 3.10 0.06
WHR B 1.10 0.06
PNW A 1.45 0.05
LECO C 1.38 0.05
OZK B 1.87 0.05
ALLE D 0.55 0.05
CTRE C 0.07 0.05
CBT C 1.31 0.05
IDCC B 1.40 0.05
NVT C 4.71 0.05
HIW D 1.46 0.04
FHB B 0.76 0.04
NSA C 1.62 0.04
HII F 1.27 0.04
CDP D 0.68 0.04
CATY B 1.89 0.04
CBU B 2.61 0.04
SLGN A 1.45 0.04
DCI B 0.57 0.04
TTC F 1.45 0.04
PII F 1.59 0.04
WU F 0.79 0.04
KRC C 3.07 0.04
AVNT B 1.61 0.04
ASB B 0.94 0.04
AUB B 1.94 0.04
FULT B 2.40 0.04
UCB A 2.40 0.04
VLY B 1.59 0.04
SON D -0.10 0.04
AOS F 1.55 0.04
OGE A 0.97 0.04
SEE D 0.23 0.04
HRL D 0.33 0.04
INGR B 1.13 0.04
CPB D 0.53 0.04
UGI C 1.54 0.03
CC C 5.10 0.03
NFG A 2.80 0.03
CVBF A 1.99 0.03
OSK C 1.36 0.03
LCII C 3.01 0.03
FCPT C 1.33 0.03
SXT C 0.38 0.03
FFBC B 2.90 0.03
SFNC B 1.18 0.03
DTM A 5.13 0.03
FLS A 0.52 0.03
FHI B -0.18 0.03
ABR C -0.55 0.03
INDB B 0.73 0.03
BOH B 1.01 0.03
ASH F 0.87 0.03
BKU A 1.95 0.03
WAFD B 1.25 0.03
RHI C 0.91 0.03
NEU D -0.09 0.03
R B 1.14 0.03
HASI F 1.42 0.03
NWE C 0.99 0.02
KFY B 1.19 0.02
ALE A 0.05 0.02
MSM D 2.78 0.02
OGN F 0.56 0.02
TKR F 1.58 0.02
OGS A 0.82 0.02
SR A 2.01 0.02
PZZA F 0.99 0.02
FLO D 0.32 0.02
TRMK B 1.09 0.02
SWX A 0.32 0.02
BKH A 1.15 0.02
POR C 1.09 0.02
GATX A 1.53 0.02
VSH F 1.09 0.02
SMG C 0.96 0.02
MMS D -7.23 0.02
BANR B 2.45 0.02
PDCO F 0.00 0.01
HI C 3.72 0.01
KMT C 1.88 0.01
B A 0.02 0.01
ENR A -0.24 0.01
WERN B 1.82 0.01
TRN B 0.43 0.01
NAVI F 1.29 0.01
NSP F 0.25 0.01
MAN F 0.05 0.01
AVA C -0.36 0.01
ABM B 0.23 0.01
PRGO C -0.22 0.01
BRC C -0.25 0.01
XRAY D 0.92 0.01

Recent News for SPDR Portfolio S&P Sector Neutral Dividend ETF & its Holdings

Date Stock Title
Nov 21 CMA Comerica Bank Statement on Direct Express Program Transition
Nov 21 CMA BNY gains Treasury's Direct Express benefits contract
Nov 21 PFE Major companies that are also popular short-selling stocks
Nov 21 AVGO Major companies that are also popular short-selling stocks
Nov 21 ABT Major companies that are also popular short-selling stocks
Nov 21 HPE Dell Q3 results should provide optimism heading into 2025
Nov 21 NTAP Dell Q3 results should provide optimism heading into 2025
Nov 21 CLX /C O R R E C T I O N -- CloroxPro/
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Nov 21 LDOS 3 Aerospace-Defense Stocks to Buy Amid Persistent Supply-Chain Issues
Nov 21 CC Chemours: Hasn't Been A Great Year, But The Long-Term Prospects Look Bright
Nov 21 HPQ HP keeps Equal-weight rating at Morgan Stanley ahead of earnings
Nov 21 LDOS 5 Best Value Stocks With Discounted PEG to Boost Your Portfolio Return
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Nov 21 VZ Verizon Business secures new 5-year agreement with the U.S. Department of Agriculture (USDA)
Nov 21 HPE Nvidia results positive for Dell, HPE, SuperMicro: Citi
Nov 21 SJM Unlocking Q2 Potential of Smucker (SJM): Exploring Wall Street Estimates for Key Metrics
Nov 21 DKS Dick's (DKS) Q3 Earnings on the Horizon: Analysts' Insights on Key Performance Measures
SPDR Series Trust - SPDR Portfolio S&P Sector Neutral Dividend ETF is an exchange traded fund launched by State Street Global Advisors, Inc. The fund is managed by SSGA Funds Management, Inc. The fund invests in public equity markets of the United States. The fund invests in stocks of companies operating across diversified sectors. It invests in growth and value stocks of companies across diversified market capitalization. The fund invests in dividend paying stocks of companies. It seeks to track the performance of the S&P Sector-Neutral High Yield Dividend Aristocrats Index, by using representative sampling technique. SPDR Series Trust - SPDR Portfolio S&P Sector Neutral Dividend ETF is domiciled in the United States.
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