Holdings

Symbol Grade Price % Change Allocation
XOM B -0.11 21.93
CVX A 0.45 15.51
COP C -0.13 7.49
WMB A -0.15 4.85
EOG A 0.63 4.54
OKE A 0.26 4.52
SLB C 0.39 4.25
PSX C 1.42 3.78
KMI A -0.18 3.69
MPC D -0.51 3.68
VLO C -0.14 3.17
TRGP B -0.18 3.00
BKR B -1.40 2.94
HES B 0.45 2.79
OXY D 0.76 2.36
FANG D 1.42 2.34
HAL C 0.22 1.85
EQT B -2.07 1.81
DVN F 1.94 1.67
CTRA B 0.69 1.33
MRO B 0.00 1.12
APA D 1.47 0.57

Recent News for SPDR Select Sector Fund - Energy Select Sector & its Holdings

Date Stock Title
Nov 23 COP ConocoPhillips (COP): Analysts Are Bullish On This Oil and Gas Stock Now
Nov 23 COP ConocoPhillips (NYSE:COP) is a favorite amongst institutional investors who own 85%
Nov 23 COP These Oil Stocks Are Delivering High-Octane Dividend Growth
Nov 23 XLE J.P. Morgan forecasts lower oil prices in Trump's upcoming term
Nov 22 BKR Oil Rig Count Rises by 1 as Crude Heads for Weekly Gain Amid Russia-Ukraine Tensions
Nov 22 CVX It's Time to Look at 3 High-Yield Large-Cap Energy Stocks
Nov 22 KMI It's Time to Look at 3 High-Yield Large-Cap Energy Stocks
Nov 22 CVX Why is the Coal-to-Gas Transition a Boon for LNG, CVX & SHEL?
Nov 22 XOM 3 US Dividend Stocks Yielding Up To 4.3%
Nov 22 HES Joanne Chory, Who Enlisted Plants to Fight Climate Change, Dies at 69
Nov 22 EOG Here's Why Hold Strategy is Apt for ConocoPhillips Stock Now
Nov 22 COP Here's Why Hold Strategy is Apt for ConocoPhillips Stock Now
Nov 22 PSX Phillips 66 Faces $2.4M Fine for Alleged Oil Dumping in LA
Nov 22 XOM Sector Update: Energy Stocks Lean Lower Pre-Bell Friday
Nov 22 XOM ExxonMobil Schedules Drilling Activity Offshore Cyprus in 2025
Nov 22 COP ConocoPhillips completes acquisition of Marathon Oil Corporation
Nov 22 XOM ExxonMobil could partner up with Eni and Total to jointly develop natural gas deposits off Cyprus
Nov 22 HAL Dividend Roundup: General Mills, Halliburton, Johnson & Johnson, Coca-Cola, and others
Nov 22 HAL Dividends Declared Week of Nov. 18
Nov 22 COP S&P 500: Texas Pacific Land Rises On S&P 500 Index Entry
The investment seeks to provide investment results that, before expenses, correspond generally to the price and yield performance of publicly traded equity securities of companies in The Energy Select Sector Index. In seeking to track the performance of the index, the fund employs a replication strategy. It generally invests substantially all, but at least 95%, of its total assets in the securities comprising the index. The index includes companies from the following industries: oil, gas & consumable fuels; and energy equipment & services. The fund is non-diversified.
Exchange Traded Fund ETF Index Fund Energy Equipment Energy Select Sector Index
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