ETF Components for SPYX - SPDR S&P 500 Fossil Fuel Free 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
NVDA B -3.26 7.43
AAPL C -1.41 7.02
MSFT D -2.79 6.42
AMZN B -4.19 3.98
META C -4.00 2.62
GOOGL B -1.76 2.15
GOOG B -1.95 1.78
AVGO C -3.25 1.74
BRK.A A 0.31 1.71
TSLA B 3.07 1.67
JPM A 1.42 1.37
LLY F -4.93 1.28
UNH B -0.16 1.14
V A 0.45 1.04
MA A 0.29 0.87
COST B -1.82 0.82
HD A 0.61 0.80
PG C 1.47 0.78
JNJ D 1.40 0.77
WMT A -0.26 0.74
ABBV F -2.74 0.72
NFLX A -1.59 0.69
CRM A -1.93 0.61
BAC A 1.85 0.61
ORCL A -1.77 0.60
MRK F -2.08 0.52
KO D -1.29 0.50
AMD F -2.84 0.49
WFC A 2.12 0.48
CSCO B -0.79 0.47
PEP F -3.95 0.46
ACN C -2.35 0.46
ADBE F -5.00 0.45
LIN D -0.97 0.45
MCD D -1.99 0.43
TMO D -3.74 0.43
NOW B -2.73 0.42
ABT B 0.76 0.41
IBM D -1.91 0.40
CAT B -0.85 0.40
TXN C -2.37 0.40
PM A 0.30 0.39
QCOM F -2.12 0.39
GE D -0.82 0.39
ISRG A -1.89 0.38
INTU A -1.84 0.38
GS A 0.84 0.37
DIS A 5.46 0.36
CMCSA B -1.38 0.35
VZ C 1.91 0.35
AMGN D -4.16 0.35
AMAT F -9.20 0.33
AXP A -0.50 0.33
BKNG A 0.08 0.33
PFE F -4.69 0.32
DHR D -3.71 0.32
T A 1.93 0.32
SPGI C -1.44 0.32
MS A 1.23 0.32
RTX D 0.20 0.32
LOW A -0.35 0.31
NEE C 1.42 0.31
UBER C 2.53 0.31
UNP D 0.00 0.30
PGR B -0.67 0.30
HON A -0.24 0.29
ETN A -0.79 0.29
TJX A 0.05 0.27
PANW B -1.87 0.26
MU D -2.86 0.26
BX A 0.11 0.26
BSX B -0.69 0.26
VRTX C -3.77 0.26
C A 0.90 0.26
GILD B -4.03 0.25
ADP B -1.44 0.25
SYK A 1.77 0.25
LMT D -0.77 0.24
FI A 0.03 0.24
BMY B -3.90 0.23
ANET C -3.00 0.23
INTC C -2.72 0.23
MDT D 1.78 0.23
ADI D -2.78 0.23
TMUS A -0.90 0.23
PLD D -1.16 0.22
SBUX A -0.20 0.22
SCHW A 0.56 0.22
MMC C 0.29 0.22
BA F 1.48 0.22
KKR A -0.33 0.21
LRCX F -6.34 0.21
CB C 0.37 0.21
DE D 1.09 0.21
UPS C 1.08 0.20
ELV F -1.56 0.20
NKE D 1.29 0.19
MO A 0.97 0.19
GEV A 1.14 0.19
KLAC F -4.73 0.19
AMT D 0.86 0.19
SO C 1.33 0.19
REGN F -3.28 0.18
MDLZ F -1.63 0.18
SNPS C -5.03 0.18
PH A 0.18 0.18
CI D -0.73 0.18
SHW B -2.26 0.18
TT A -0.64 0.18
APH B -2.80 0.18
ICE D -0.59 0.18
CDNS B -4.40 0.17
AON A 0.79 0.17
PYPL A 0.05 0.17
DUK C 2.31 0.17
EQIX B -0.08 0.17
USB B -0.81 0.16
MSI A -0.95 0.16
MCK A -0.63 0.16
GD D -1.51 0.16
ZTS D 0.29 0.16
WELL A 1.19 0.16
CME A 0.83 0.16
CMG B -2.14 0.16
WM B -1.72 0.16
PNC A -0.13 0.16
NOC D -1.27 0.15
CVS F -3.45 0.15
EMR A -1.32 0.15
MMM D -1.91 0.15
MCO C -1.82 0.15
ITW B 0.28 0.15
CL D 2.31 0.15
TDG D -1.38 0.15
CEG D -0.33 0.15
CTAS B -0.67 0.15
CRWD B -2.21 0.15
WMB A 1.75 0.14
CSX B -1.40 0.14
APD A 0.39 0.14
FCX F -1.32 0.14
TGT D -0.87 0.14
COF A 1.17 0.14
ORLY A -0.90 0.14
NSC B -1.32 0.13
TFC A 0.65 0.13
GM A -1.01 0.13
CARR D -0.59 0.13
ECL D -0.96 0.13
AJG A -0.04 0.13
FDX A 0.74 0.13
ABNB C -1.53 0.13
MAR A -1.15 0.13
ADSK B -2.45 0.13
BDX F -0.89 0.13
HCA D -0.74 0.13
BK A 0.93 0.12
URI B -1.60 0.12
TRV A 1.68 0.12
PCAR B -2.43 0.12
NXPI F -3.09 0.12
HLT A -0.59 0.12
ROP C -2.93 0.12
OKE A 1.79 0.12
SLB C -0.62 0.12
NEM F 0.61 0.11
RCL A -0.65 0.11
GWW A 0.20 0.11
PSX C 0.89 0.11
PSA C 0.97 0.11
FTNT A -0.28 0.11
SPG A 1.10 0.11
AMP A 0.16 0.11
AFL C 1.50 0.11
JCI A -0.87 0.11
FICO A -2.68 0.11
DLR A 0.82 0.11
AZO C -0.91 0.11
SRE A 1.93 0.11
PAYX B -1.97 0.10
PWR A -0.17 0.10
D C 2.56 0.10
FIS B -0.72 0.10
ROST D -1.15 0.10
FAST B -0.38 0.10
MET A 0.88 0.10
LHX B -0.47 0.10
CMI A -0.52 0.10
CPRT A -1.17 0.10
AIG B 0.03 0.10
DHI D -1.30 0.10
O D 0.84 0.10
ALL A 0.56 0.10
AEP C 2.72 0.10
KMI A 1.91 0.10
MPC D -0.39 0.10
PEG C 2.29 0.09
RSG B -0.68 0.09
COR B -1.30 0.09
F C -0.54 0.09
BKR A -0.56 0.09
PCG A 0.24 0.09
VLO C 0.10 0.09
DFS A 1.29 0.09
KVUE A 0.89 0.09
PRU A 1.32 0.09
AME A -0.34 0.09
HWM A -1.07 0.09
KMB C 1.82 0.09
MSCI A -1.77 0.09
CCI D 0.86 0.09
VST A 2.67 0.09
KDP D -5.15 0.08
GLW B -0.60 0.08
ACGL C 1.78 0.08
MPWR F -0.59 0.08
IQV F -5.06 0.08
SYY D -0.01 0.08
MLM B -0.84 0.08
EXC C 2.60 0.08
CHTR B -1.19 0.08
NUE D 0.48 0.08
VMC B -1.20 0.08
EA A -1.68 0.08
MNST D -7.08 0.08
YUM D -2.30 0.08
DAL A -1.20 0.08
KR B -1.26 0.08
CBRE B -1.34 0.08
VRSK B -1.86 0.08
EW C 2.42 0.08
MCHP F -4.18 0.08
CTSH B -4.53 0.08
GEHC D -1.40 0.08
OTIS D -0.23 0.08
CTVA D -3.83 0.08
ODFL B -3.52 0.08
A D -2.42 0.08
TRGP A 2.33 0.08
LEN D -0.56 0.08
IT B -2.65 0.08
IR A -0.54 0.08
VICI C 1.18 0.07
AVB A 0.65 0.07
WTW B -0.68 0.07
NDAQ A 0.90 0.07
AXON A -0.86 0.07
CNC F -2.08 0.07
GRMN B -1.39 0.07
EFX F -5.32 0.07
ED D 1.26 0.07
IRM D 1.56 0.07
HIG C 1.31 0.07
DOW F -1.23 0.07
EXR C 0.69 0.07
MTB A 0.69 0.07
WAB B -0.78 0.07
HUM F -2.64 0.07
IDXX F -0.65 0.07
LULU C -3.10 0.07
DD D -1.48 0.07
GIS D -2.32 0.07
RMD C 1.43 0.07
HPQ B 0.63 0.07
STZ D -1.86 0.07
XEL A 0.80 0.07
PHM D -0.42 0.06
CDW F -1.74 0.06
DXCM C 1.61 0.06
HPE B -1.27 0.06
DOV A -0.45 0.06
UAL A 0.01 0.06
TTWO A -2.13 0.06
GPN B -0.18 0.06
STT A 1.38 0.06
KEYS C -2.80 0.06
KHC F -2.04 0.06
CAH B -2.07 0.06
RJF A 0.33 0.06
XYL D 0.12 0.06
PPG F -0.80 0.06
WEC A 1.92 0.06
EBAY D -1.40 0.06
MTD F -4.70 0.06
ANSS B -2.32 0.06
ON F -3.37 0.06
EIX C 1.89 0.06
TSCO D -0.51 0.06
FITB A -0.57 0.06
ETR A 1.41 0.06
ROK A -0.10 0.06
CSGP F -5.05 0.06
TDY B -1.35 0.05
LYB F 0.11 0.05
PTC B -0.58 0.05
WAT B -4.85 0.05
IFF D -3.61 0.05
RF A 0.34 0.05
AEE A 1.67 0.05
WDC F -0.66 0.05
CINF A 1.49 0.05
WY D 0.23 0.05
CCL A 0.00 0.05
PPL A 1.48 0.05
WST C -6.99 0.05
CPAY A -1.87 0.05
SBAC D 1.20 0.05
DTE C 0.57 0.05
EQR C 0.71 0.05
GDDY A -1.28 0.05
BIIB F -2.97 0.05
ADM D 1.60 0.05
HBAN A 0.91 0.05
CHD A 1.32 0.05
SYF A 0.14 0.05
NTAP D -0.73 0.05
AWK C 1.67 0.05
HUBB B -0.56 0.05
VTR C 0.14 0.05
VLTO D -0.42 0.05
BR A 0.10 0.05
HSY F -4.48 0.05
LDOS C -4.35 0.05
FTV D -1.04 0.05
BRO B 0.47 0.05
HAL C -1.39 0.05
SW A 3.22 0.05
DECK A -0.68 0.05
TYL B -2.80 0.05
NVR D -1.67 0.05
TROW A -0.86 0.05
TSN A 0.48 0.04
GPC D -0.99 0.04
BBY C 1.18 0.04
TER F -3.70 0.04
TRMB A -0.17 0.04
DGX A 2.30 0.04
ARE D -2.48 0.04
FDS A -2.38 0.04
KEY A 0.10 0.04
MAA A 0.46 0.04
MAS D -0.97 0.04
BAX F 0.82 0.04
BALL D -1.65 0.04
LVS C -1.17 0.04
PFG C 0.23 0.04
J D -0.43 0.04
LUV A 0.56 0.04
WRB A 1.83 0.04
ULTA D -4.60 0.04
CNP A 2.94 0.04
HOLX D 1.37 0.04
SNA A -0.20 0.04
MKC D -1.27 0.04
INVH D 0.75 0.04
CMS C 1.22 0.04
ESS A -0.32 0.04
LYV A -0.15 0.04
MOH F -3.81 0.04
NRG B 0.60 0.04
CLX A 1.14 0.04
DRI B -1.13 0.04
LH B -1.25 0.04
CFG A 0.43 0.04
WBD B -6.49 0.04
BLDR D -2.72 0.04
IP A 1.97 0.04
OMC C -7.79 0.04
STX D -0.69 0.04
CBOE D 1.15 0.04
FSLR F -2.40 0.04
ES C 0.60 0.04
STLD B 1.16 0.04
NTRS A 1.55 0.04
ZBRA B -2.22 0.04
FE C 1.67 0.04
ATO A 0.38 0.04
STE D -0.48 0.04
PKG B 0.09 0.04
EXPE A -0.50 0.04
K B -0.35 0.04
ZBH C 3.39 0.04
DAY B -2.84 0.03
KMX B -0.23 0.03
CPT D -0.48 0.03
HST D -1.15 0.03
CHRW A -1.16 0.03
ALLE D -1.10 0.03
JNPR D -4.95 0.03
SMCI F 3.16 0.03
UHS D 0.34 0.03
DLTR F -2.24 0.03
UDR C -0.54 0.03
JKHY D 0.44 0.03
INCY B -2.39 0.03
CAG F -2.73 0.03
EPAM B -3.91 0.03
SWK F -0.43 0.03
ROL A -0.40 0.03
EVRG A 1.53 0.03
NDSN B -0.69 0.03
NI A 1.53 0.03
POOL D 0.54 0.03
FFIV B -1.52 0.03
APTV F -2.04 0.03
AMCR C 0.39 0.03
LNT A 2.49 0.03
SWKS F -0.37 0.03
L A 1.05 0.03
CF A 2.15 0.03
EG D 1.32 0.03
JBL C -0.54 0.03
JBHT B -1.17 0.03
RVTY D -5.63 0.03
ALGN D 0.92 0.03
EL F -1.67 0.03
VTRS A 1.66 0.03
VRSN D -1.89 0.03
DPZ C -1.27 0.03
GEN B -1.53 0.03
DOC D -1.84 0.03
AKAM F -1.04 0.03
KIM A 0.69 0.03
TXT D -1.38 0.03
MRNA F -7.34 0.03
AVY D -1.09 0.03
EXPD D -0.66 0.03
PNR A 0.06 0.03
PODD A -0.40 0.03
IEX B -0.68 0.03
DG F -1.52 0.03
MHK D -0.01 0.02
HII F -0.91 0.02
FMC F -1.96 0.02
MTCH F -1.76 0.02
HAS D -1.35 0.02
FRT B 0.15 0.02
IVZ B -0.39 0.02
BWA A 0.20 0.02
WYNN D -2.40 0.02
CZR F -5.00 0.02
MGM D -0.64 0.02
RL B -1.46 0.02
HRL D -3.95 0.02
CE F -0.22 0.02
AES F -0.21 0.02
CPB D -2.92 0.02
HSIC D 3.34 0.02
TFX F 0.90 0.02
MOS D 0.23 0.02
AOS F -1.05 0.02
GL B 0.17 0.02
ENPH F -6.36 0.02
TAP A -0.49 0.02
FOXA A -3.88 0.02
PNW A 1.12 0.02
LKQ D -1.27 0.02
MKTX C -1.26 0.02
SOLV C -0.62 0.02
CTLT C 0.32 0.02
CRL D -4.65 0.02
PAYC B -2.13 0.02
AIZ A 1.55 0.02
NWSA B -1.68 0.02
LW C -6.14 0.02
BXP D -1.18 0.02
NCLH B -0.97 0.02
REG A 0.00 0.02
GNRC B -2.43 0.02
IPG F -7.23 0.02
TECH D -6.85 0.02
ALB C 1.40 0.02
TPR A -1.02 0.02
BG D 2.88 0.02
SJM F -2.51 0.02
EMN C 0.85 0.02
NWS A -0.44 0.01
FOX A -3.05 0.01
PARA C -4.49 0.01
WBA F -3.75 0.01
BEN C 0.42 0.01
DVA C 3.87 0.01
QRVO F -1.04 0.01

Recent News for SPDR S&P 500 Fossil Fuel Free ETF & its Holdings

Date Stock Title
Nov 16 LLY Lilly's tirzepatide reduced the risk of worsening heart failure events by 38% in adults with heart failure with preserved ejection fraction (HFpEF) and obesity
Nov 16 TSLA The weight-loss frenzy is making some pharma stocks much more volatile. Will the drama continue?
Nov 16 LLY The weight-loss frenzy is making some pharma stocks much more volatile. Will the drama continue?
Nov 16 TSLA Tesla Owners Who Don't Like Musk Are Letting Bumper Stickers Do The Talking
Nov 16 TSLA Cathie Wood Is Selling Tesla and Buying This Other EV Stock That's Under $5. Should You Follow Her Lead?
Nov 16 VST AI Stocks Among 5 Leaders Near Buy Points As Trump Rally Wavers
Nov 16 TSLA Roaring Donald: Trump’s Truth Social emerges as a meme stock darling
Nov 16 META Generative AI might be following Facebook's adoption curve: Morgan Stanley
Nov 16 PYPL 2 Stocks That Could Be Easy Wealth Builders
Nov 16 PYPL 2 Stocks That Could Crush the Market in 2025
Nov 16 DIS Insiders Of Walt Disney Are Up 17% On Their US$3.22m Purchase
Nov 16 TECH Sean Parker's Net Worth Touches $3B: From Launching Napster To Becoming Facebook Billionaire, The Story Of Teenage Hacker Turned Entrepreneur
Nov 16 DXCM What Moved Markets This Week
Nov 16 MPWR What Moved Markets This Week
Nov 16 DIS What Moved Markets This Week
Nov 16 TPR What Moved Markets This Week
Nov 16 SCHW What Moved Markets This Week
Nov 16 LDOS What Moved Markets This Week
Nov 16 MRNA What Moved Markets This Week
Nov 16 SMCI What Moved Markets This Week
The investment seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the S&P 500 Fossil Fuel Free Index. Normally, the fund generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index. In addition, it may invest in equity securities that are not included in the index, cash and cash equivalents or money market instruments. The index is designed to measure the performance of companies in the S&P 500 Index that are "fossil fuel free", which are defined as companies that do not own fossil fuel reserves. The fund is non-diversified.
Exchange Traded Fund ETF Index Fund Stock Fund S&P 500 Index CBOE Fossil Fuel
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