ETF Components for MDY - SPDR MidCap Trust Series I


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
ILMN C 0.27 0.79
TPL A 0.01 0.76
EME A 2.34 0.72
LII A 2.91 0.67
CSL C 0.81 0.67
WSM C -1.62 0.60
RPM B 0.73 0.57
WSO A 0.00 0.57
IBKR A 1.34 0.57
UTHR C -0.09 0.57
MANH D 0.96 0.56
DT D 1.58 0.55
RBA A 0.77 0.54
FNF D 0.24 0.54
BURL B 0.19 0.54
RS B 0.92 0.54
OC A 1.48 0.53
PSTG F 2.21 0.53
TOL B 0.64 0.52
USFD A 0.42 0.52
XPO B 3.62 0.52
AVTR F -0.55 0.52
THC C -4.76 0.51
EQH B 0.04 0.50
CASY A -0.10 0.50
COHR B 4.50 0.49
DOCU B 0.30 0.49
ACM B 2.94 0.49
GLPI C -0.36 0.48
RGA B 0.39 0.48
FIX A 3.11 0.48
EWBC A 1.21 0.47
RNR C -0.26 0.47
GGG B 0.00 0.47
CW B 2.22 0.46
SAIA C 5.42 0.45
TTEK F 1.36 0.45
ELS B 0.00 0.45
PFGC B 1.65 0.44
TXRH B 0.24 0.44
SFM B 1.14 0.44
JLL D 1.20 0.44
CACI D 3.80 0.43
NVT C 4.21 0.43
BMRN F -0.96 0.43
NBIX C 0.58 0.42
WPC C 0.00 0.42
SCI B -0.51 0.41
SRPT F -1.40 0.41
ITT B 0.00 0.40
LAMR D 0.42 0.40
CLH C 0.88 0.40
BJ B 6.15 0.39
DKS D -0.16 0.39
LECO C 1.35 0.38
OHI C 0.15 0.38
DUOL A 2.11 0.38
UNM A 2.52 0.38
FND D 2.80 0.38
RRX B 1.21 0.38
AMH C 0.16 0.38
BWXT B 2.96 0.38
ATR B 0.07 0.38
CCK D 0.29 0.38
BLD F 1.84 0.37
SF B 0.54 0.37
CUBE D 0.43 0.37
CHDN B -0.26 0.36
FBIN D 0.00 0.36
OVV B 1.99 0.36
AA A 0.61 0.36
JEF A 1.84 0.36
CG B 1.29 0.36
WMS F 0.86 0.36
EHC B -0.19 0.35
WTRG B 0.92 0.34
WWD B 1.37 0.34
ONTO F 1.68 0.34
CNH C 3.29 0.34
ARMK B 2.16 0.34
EVR B 1.83 0.33
EXEL B -0.20 0.33
KNSL B 0.75 0.33
EXP B 2.45 0.33
RGLD C 0.00 0.33
ALLY C 2.93 0.33
CIEN B 1.79 0.32
NYT D 0.50 0.32
HLI A 1.08 0.32
AYI B 1.26 0.32
FHN B 1.03 0.32
AFG A 0.87 0.32
PRI B 0.09 0.32
REXR F 0.05 0.32
MORN B 0.28 0.31
WBS A 0.92 0.31
AIT B 2.02 0.31
LAD B 2.19 0.31
PEN B -0.77 0.31
KBR F 1.67 0.31
FLR B 3.60 0.31
WAL B 1.59 0.31
MUSA B 1.20 0.31
WCC B 1.57 0.30
GME C 0.86 0.30
INGR B 0.43 0.30
PR B 1.81 0.30
X C 4.16 0.30
FN C 1.08 0.30
DTM A 3.86 0.30
SNX C 1.05 0.30
ENSG D 0.10 0.30
AAL B -0.41 0.30
DCI B 0.54 0.30
ORI A 0.64 0.29
GMED A 0.50 0.29
AXTA B 0.67 0.29
TPX B 0.17 0.29
LNW F 0.53 0.29
EGP D 0.52 0.29
HRB D -0.78 0.29
TTC F 0.65 0.29
KNX B 1.77 0.29
WING F -0.27 0.29
GPK D -0.18 0.29
BRBR A 2.14 0.29
CNM C -0.78 0.29
NNN C -0.54 0.28
MEDP F 0.00 0.28
PCTY B 0.41 0.28
OGE A 0.49 0.28
PNFP B 1.00 0.28
BERY C 1.06 0.28
BRX A 0.00 0.28
CHE D 1.47 0.28
RBC A 0.00 0.28
SKX F 0.18 0.28
CFR B 0.49 0.28
AAON B 1.38 0.27
ZION B 1.02 0.27
TREX C 0.55 0.27
WTFC B 0.83 0.27
CHRD F 1.50 0.27
TKO A 0.33 0.27
VOYA B -0.05 0.27
FYBR C 0.26 0.27
OLED F 0.47 0.27
SAIC F 3.19 0.26
HQY A 0.05 0.26
SSB B 1.56 0.26
UFPI C 1.78 0.26
ADC A 0.00 0.26
MTZ A 0.00 0.26
AR B 3.27 0.26
SSD D 0.96 0.26
LNTH C 1.79 0.26
CR A 1.19 0.26
TMHC C 0.78 0.25
GXO B 0.00 0.25
SNV B 1.06 0.25
RRC B 2.67 0.25
HLNE B 1.89 0.25
CBSH B 1.11 0.25
SEIC B 0.00 0.25
CVLT A 0.97 0.24
BIO C -0.29 0.24
VNO C 1.83 0.24
FCN D 0.61 0.24
CGNX D -0.08 0.24
FLS A 0.55 0.24
MAT D 0.68 0.24
FR D -0.13 0.24
PB B 0.81 0.24
MIDD D 0.00 0.24
WH B 0.00 0.24
GNTX F 0.88 0.24
LSCC F 0.97 0.24
ESAB B 2.13 0.24
RGEN D -0.33 0.24
WEX F 1.48 0.24
MSA D 0.44 0.23
H B 0.54 0.23
FAF A -0.37 0.23
COKE C 1.13 0.23
PLNT A 1.52 0.23
KEX A 0.85 0.23
OSK C 0.00 0.23
MKSI C 1.93 0.23
EXLS B 1.59 0.23
ANF F -0.26 0.23
RYAN B -0.71 0.23
STAG D 0.00 0.23
ALV C -0.33 0.23
JAZZ B 1.27 0.23
LSTR D 0.30 0.22
MTN C 1.56 0.22
BRKR F 0.06 0.22
G B 0.29 0.22
DINO D 0.67 0.22
STWD C 0.41 0.22
ARW D 1.52 0.22
VMI B 0.00 0.22
R B 0.98 0.22
MASI B 1.71 0.22
ESNT D -0.05 0.22
CROX F 0.83 0.22
HALO F -0.59 0.22
MTG C 0.12 0.22
MTSI B 3.03 0.22
RLI A 0.03 0.22
COLB B 1.23 0.21
CYTK D -0.71 0.21
MTDR B 2.01 0.21
LFUS D 0.54 0.21
CLF F 0.77 0.21
CADE B 0.00 0.21
NOV C 1.54 0.21
NOVT D 0.95 0.21
DBX C 0.89 0.21
ONB B 1.17 0.21
ALTR B 0.11 0.21
AGCO F 5.10 0.21
LPX B 1.81 0.21
CMC B 1.20 0.21
DAR C -1.08 0.21
KBH D 0.90 0.20
WHR B 0.48 0.20
VNT C 1.39 0.20
SRCL B 0.00 0.20
WFRD F 2.52 0.20
AMG B 0.90 0.20
CRUS F 0.93 0.20
CBT C 1.38 0.20
GBCI B 0.48 0.20
ELF C 0.61 0.20
CHX C 1.34 0.19
LEA F 0.94 0.19
PVH D 1.66 0.19
KNF B 1.83 0.19
IDA A 0.00 0.19
SIGI C 0.31 0.19
NFG A 2.56 0.19
THO C 1.78 0.19
OLLI D 2.78 0.19
KRG A 0.00 0.19
GTLS A 2.60 0.18
UBSI B 0.80 0.18
UGI C 0.66 0.18
CNX A 2.39 0.18
RMBS C 1.59 0.18
SON D 0.00 0.18
POST C -0.12 0.18
ST F 0.60 0.18
VVV D -0.17 0.18
MMS D -7.02 0.18
FNB B 2.13 0.18
FIVE F 0.54 0.18
WTS B 0.00 0.18
DOCS C -0.76 0.18
JHG B 0.46 0.18
BC F 1.66 0.18
KD A 7.82 0.18
TKR F 0.95 0.18
NXST D -0.59 0.18
THG A -0.22 0.18
APPF C 0.51 0.17
EXPO D 0.62 0.17
SLM A 2.75 0.17
HXL F 0.86 0.17
OLN F 0.88 0.17
AM A 1.88 0.17
UMBF B 1.17 0.17
POR C 0.32 0.17
GATX A -0.20 0.17
ROIV D 1.74 0.17
PSN D 4.65 0.17
HOMB B 0.75 0.17
HWC B 1.36 0.16
WMG B -8.52 0.16
BCO F 1.35 0.16
SBRA B 0.00 0.16
NJR A 0.86 0.16
GAP D 0.85 0.16
OZK B 0.00 0.16
FFIN B 0.53 0.16
BDC B 1.66 0.16
CUZ B 1.40 0.16
XRAY D -0.11 0.16
CELH F -0.87 0.16
RH C 1.48 0.16
BYD B 0.03 0.16
AVT C 0.89 0.16
M F 1.30 0.15
KRC C 1.60 0.15
ORA B 0.56 0.15
AVNT B 1.57 0.15
LITE B 7.79 0.15
DLB B 0.00 0.15
FLO D 0.00 0.15
QLYS C 1.08 0.15
IRT A 0.87 0.15
SWX A 0.00 0.15
WLK F 0.24 0.15
CIVI F 0.00 0.15
MUR D 1.43 0.15
PNM B 0.00 0.14
OPCH F 0.09 0.14
ACHC F -1.38 0.14
LOPE B 0.33 0.14
NEU D -0.09 0.14
OGS A 0.39 0.14
VLY B 1.13 0.14
AN D 2.73 0.14
ASGN F 0.12 0.14
BKH A 0.51 0.14
ASH F -0.03 0.14
EEFT C 0.03 0.14
RYN D 0.40 0.14
SLGN A -0.49 0.14
WU F 0.00 0.13
CNO B 1.29 0.13
HAE C 0.50 0.13
PII F 0.93 0.13
SR A 0.98 0.13
ALE A 0.22 0.13
SMG C 1.86 0.13
KMPR A 0.83 0.13
HOG F 0.80 0.13
ENS D 0.00 0.13
TNL B 1.15 0.12
LANC D 0.20 0.12
SLAB F 0.00 0.12
VAL F 0.11 0.12
POWI D 0.00 0.12
EPR D 0.52 0.12
TEX D 0.84 0.12
IRDM F -0.24 0.12
PRGO C -0.70 0.12
ASB B 0.45 0.12
MSM D 0.00 0.12
TCBI B 0.00 0.12
NVST C 1.23 0.12
CDP D 0.68 0.12
AMED F -0.03 0.11
TDC D 1.90 0.11
FHI B -0.18 0.11
CHH A 0.85 0.11
ZI C 0.99 0.11
ALGM F 1.79 0.11
WEN D -0.45 0.11
IBOC B 0.00 0.11
NWE C 0.31 0.11
LIVN D -0.58 0.10
NSP F 1.24 0.10
PAG C 1.98 0.10
NEOG D 0.47 0.10
PBF D -0.09 0.10
BHF B 0.46 0.10
AMKR F 1.60 0.10
GHC B 0.00 0.10
PK D 0.00 0.10
NSA C 0.82 0.10
YETI D 1.02 0.10
MAN F 0.36 0.10
PCH D 0.11 0.10
BLKB C 0.05 0.10
VAC C 1.16 0.09
VC F 1.30 0.09
SAM C -0.87 0.09
COLM C 0.00 0.09
CXT C 1.91 0.09
CC C 3.71 0.09
COTY F -0.28 0.09
SYNA D 3.25 0.09
JWN D 0.09 0.08
IPGP D 2.83 0.08
RCM A 0.00 0.08
GT C -0.22 0.08
ENOV C 0.00 0.08
CPRI F -1.38 0.08
HGV C 0.93 0.08
ARWR D -1.34 0.08
SHC F 0.00 0.08
VSH F 0.79 0.07
PPC B -0.64 0.07
CRI F -0.14 0.07
CNXC F 0.00 0.07
AZTA D 2.07 0.07
GEF A 0.24 0.06
UAA C 0.38 0.06
CAR C 2.95 0.05
UA C 0.54 0.04

Recent News for SPDR MidCap Trust Series I & its Holdings

Date Stock Title
Nov 21 WMG Warner Music Q4 Earnings: Flat Digital Revenue Growth, Operating Cash Flow Falls
Nov 21 AA Alcoa Joins First Suppliers Hub - Connecting Leading Companies with Low-Carbon Aluminum Technologies
Nov 21 ELF e.l.f. Beauty Strikes Back: Record Growth Defies Short-Seller Claims
Nov 21 RBA IAA Announces New Market Alliance in Oman
Nov 21 AA Alcoa Executive Vice President and Chief Financial Officer Molly Beerman to participate in Citi's 2024 Basic Materials Conference
Nov 21 ELF Elf Beauty says short-seller Muddy Waters' allegations are 'without merit'
Nov 21 FIVE Should You Sell Five Below (FIVE)?
Nov 21 KD Kyndryl Holdings launches $300M stock buyback plan
Nov 21 EPR EPR Properties: The Simon Property Group Effect
Nov 21 ELF E.l.f. Beauty's Valuation Reset: A New Opportunity for Long-Term Investors
Nov 21 WEX WEX Unveils New Digital Solution to Enhance and Expand Medicare Advantage Platform
Nov 21 AAON AAON To Present At UBS Global Industrials & Transportation Conference On December 4, 2024
Nov 21 INGR How Should You Play Tyson Foods Stock at a P/E Multiple of 17.5X?
Nov 21 WMG Warner Music Group’s (NASDAQ:WMG) Q3: Beats On Revenue
Nov 21 WMG Warner Music GAAP EPS of $0.08 misses by $0.20, revenue of $1.63B beats by $30M
Nov 21 WMG Warner Music Group Corp. Reports Results for Fiscal Fourth Quarter and Full Year Ended September 30, 2024
Nov 21 KD KYNDRYL ANNOUNCES $300 MILLION SHARE REPURCHASE AUTHORIZATION
Nov 21 GMED ALGN Stock to Gain From CE Mark Win for Invisalign Palatal Expander
Nov 21 H Hyatt Hotels Corporation's (NYSE:H) Recent Stock Performance Looks Decent- Can Strong Fundamentals Be the Reason?
Nov 21 JAZZ Zymeworks, Jazz Pharmaceuticals Receive FDA's Accelerated Approval for Ziihera to Treat Biliary Tract Cancer
The investment seeks to provide investment results that, before expenses, generally correspond to the price and yield performance of the S&P MidCap 400 Index. The Trust holds the Portfolio and cash and is not actively "managed" by traditional methods. To maintain the correspondence between the composition and weightings of Portfolio Securities and component stocks of the S&P MidCap 400 Index, the Trustee adjusts the Portfolio from time to time to conform to periodic changes in the identity and/or relative weightings of Index Securities.
Exchange Traded Fund ETF Midcap S&P Mid Cap 400 Low Volatility Index
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