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
VST C 1.98 1.63
WSM B 1.12 1.42
RS B -0.81 1.35
CSL A 0.83 1.34
GDDY C -2.79 1.20
EME B -0.40 1.15
GGG B -0.75 1.13
LII B 0.43 1.13
PSTG C -1.07 1.11
SAIA C 0.78 1.10
MANH C 0.20 1.10
OC B -0.25 1.05
LECO B -1.13 1.04
FND C -0.02 1.01
NBIX C 0.07 1.01
BLD B 0.52 0.98
WSO B -0.53 0.97
CELH C -0.61 0.96
TOL B 1.53 0.93
OVV A 1.05 0.92
NVT B -0.01 0.87
CASY B -0.08 0.84
WMS B 0.47 0.83
FIX B -0.08 0.82
KNSL C -1.40 0.81
ELF C -0.11 0.81
DT F 1.09 0.79
ITT B -0.60 0.78
TREX B 0.50 0.77
LSCC C -1.76 0.77
SWAV B 0.94 0.75
TXRH B 0.13 0.73
RGEN D -0.45 0.73
WEX B 1.56 0.72
WING B 0.14 0.72
CLH B 0.37 0.70
FIVE F -1.35 0.69
TTEK B 0.04 0.69
MEDP B 0.22 0.68
LNW C -1.82 0.68
TPX B 1.05 0.68
BWXT B 0.68 0.66
EXP A 0.97 0.65
ONTO C 0.33 0.64
WWD B -0.75 0.64
BURL A 0.68 0.62
SSD C 1.12 0.62
PEN F -1.41 0.62
PRI B -1.26 0.62
WFRD C -0.92 0.60
CROX C 0.55 0.60
RPM B -1.02 0.59
SKX D 0.66 0.58
SWN B 0.93 0.57
CHDN D -0.43 0.57
MORN B 0.07 0.56
RRC C 0.23 0.56
MUSA B 0.51 0.55
AIT B -0.17 0.55
RBC D -0.51 0.55
ELS F 0.11 0.55
MTDR C 2.09 0.54
PCTY D -0.83 0.53
AXTA A 0.32 0.53
UFPI B 1.00 0.53
PR A 2.97 0.51
OLED D 0.42 0.51
FCN C 0.41 0.51
NYT F -1.93 0.51
EXEL B -0.54 0.51
H B -0.76 0.50
CHRD B 1.39 0.50
MSA B 0.20 0.49
DKS A 1.02 0.49
IBKR B 0.25 0.49
VNT A 1.39 0.49
RMBS D -2.04 0.49
ACHC D 1.12 0.49
AMH B 1.46 0.49
RNR B -0.44 0.48
HRB C 0.92 0.48
XPO C 0.92 0.48
GTLS C -0.36 0.47
HLI B 0.24 0.47
CIVI C 1.29 0.46
ACM B 0.79 0.44
DBX F -0.57 0.44
EQH B 0.11 0.43
QLYS D 1.01 0.43
ESAB B 0.43 0.43
CW B 0.93 0.43
EWBC B -0.18 0.42
ERIE C -1.62 0.42
LAMR B 0.57 0.42
WTS B 0.46 0.41
CHE B -0.36 0.41
VVV B 0.16 0.41
MTN D 1.20 0.40
CNM B 0.85 0.40
ATR B -0.53 0.39
SCI B -0.01 0.39
HALO C -0.12 0.38
ALV C -1.37 0.38
EGP D 0.94 0.38
CUBE D 0.74 0.38
GNTX C -0.52 0.38
BRKR B 0.09 0.37
GLPI C 0.66 0.37
PLNT F 2.66 0.36
DCI B -0.32 0.36
OLLI C 0.95 0.35
CG B 0.28 0.35
UTHR C -5.57 0.35
WLK A 0.30 0.34
EVR B 0.20 0.33
VAL C 2.02 0.33
COTY D 1.18 0.32
TTC D 2.11 0.32
LSTR D 2.91 0.32
NEU B 0.80 0.31
CCK F 0.96 0.31
CHX C 1.24 0.31
WTRG C 0.68 0.31
BYD C 1.36 0.31
WH D 0.07 0.30
MIDD A 0.79 0.30
AYI B 0.43 0.30
REXR F 0.84 0.30
BRBR C 0.39 0.30
SLAB D 2.47 0.30
LNTH D 2.94 0.29
LFUS D 0.99 0.29
COKE D 0.50 0.29
MKSI B 0.82 0.28
LOPE C 0.96 0.28
BCO B 1.37 0.28
BC B 0.85 0.28
TDC F -1.78 0.27
RGLD C 2.20 0.27
GXO D 2.15 0.27
RLI A -0.01 0.27
KBR B 0.84 0.27
HQY B 2.40 0.26
DTM A 2.50 0.26
NOVT C 0.56 0.26
MASI C 1.64 0.26
MMS C 0.49 0.26
PK B -0.91 0.26
SIGI A 1.63 0.25
STAG B 0.92 0.25
EHC B 6.47 0.25
ARWR F -0.35 0.25
SEIC B -0.17 0.25
FR D 0.90 0.24
CBT A 0.38 0.24
MTSI B 0.10 0.24
CNX B 0.00 0.24
LPX B 0.37 0.24
CGNX D -0.14 0.23
JAZZ F -0.07 0.23
CACI B -0.02 0.22
MAT D 0.25 0.22
BRX B 0.77 0.22
PGNY D 0.42 0.22
OHI C 2.00 0.22
OPCH C 1.08 0.22
KNF A 1.27 0.22
CYTK D -1.82 0.21
CFR B 1.12 0.21
EXLS D 1.66 0.21
HXL C 0.07 0.21
VOYA B 0.69 0.21
CIEN D -2.06 0.21
AM A 1.22 0.20
CRUS C 0.67 0.20
MUR C 1.31 0.20
OLN B 0.94 0.20
DLB C 0.24 0.20
NNN B 0.33 0.20
CVLT A 1.17 0.19
PNFP D 0.27 0.19
FLS B -0.11 0.19
INGR B -0.40 0.19
CBSH D -0.24 0.18
KBH B 1.90 0.18
CPRI F 0.09 0.18
SFM B 0.69 0.18
EEFT C -1.12 0.18
SAIC D 0.24 0.17
TNL A 1.14 0.17
MSM F -2.49 0.17
HAE C 1.50 0.17
OZK D -0.20 0.17
TKR C -0.81 0.16
KEX A 0.31 0.16
MTG A 1.04 0.16
TEX B -0.19 0.16
YETI F 0.55 0.15
AZTA D 1.43 0.15
EXPO D 1.01 0.15
CAR F -0.62 0.15
RH C 17.26 0.15
SLM B 0.88 0.14
EPR D 0.64 0.14
HWC D 0.68 0.14
POWI F 1.33 0.14
LANC B 0.27 0.14
HGV B -1.13 0.14
ETRN B 2.21 0.14
IDA D 0.49 0.13
NSP D 0.96 0.13
BLKB F 1.69 0.13
WOLF D 3.22 0.12
DOCS D -0.30 0.12
GATX B 0.07 0.12
RYN C -0.51 0.12
WEN D -0.32 0.12
ZI F 1.14 0.11
CHH C -1.21 0.11
ENS D 0.31 0.11
IRDM F -0.53 0.11
SYNA D -1.27 0.11
FFIN A 0.80 0.11
NSA C 0.62 0.10
SHC F 1.18 0.10
VC D 0.40 0.10
IPGP F 0.13 0.09
AMED F -0.32 0.09
SAM F -1.15 0.09
IBOC B 0.54 0.09
COLM D 1.96 0.09
NARI F 1.22 0.09
LIVN C 0.13 0.08
SMG B 1.33 0.08
FOXF F 3.75 0.06
MP F -1.58 0.06
ALGM F 0.60 0.05

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

Date Stock Title
Mar 28 HQY Director Evelyn Dilsaver Sells 32,500 Shares of HealthEquity Inc (HQY)
Mar 28 CAR Avis Budget Group (CAR) Stock Slides as Market Rises: Facts to Know Before You Trade
Mar 28 GDDY GoDaddy Venture Forward Quarterly Newsletter
Mar 28 COTY 25 Best Spring Fragrances for Men to Try in 2024
Mar 28 COTY 25 Best Everyday Colognes for Men in 2024
Mar 28 AYI Acuity Brands declares $0.15 dividend
Mar 28 SAM Freshly Squeezed (3/28/24)
Mar 28 UTHR Liquidia gains after court win in patent dispute with United Therapeutics
Mar 28 REXR Rexford Industrial buys 3M square feet of property from Blackstone for $1B
Mar 28 RMBS 11 Undervalued Semiconductor Stocks To Buy According to Hedge Funds
Mar 28 REXR Blackstone Sells $1 Billion of California Warehouses to Rexford
Mar 28 REXR Rexford Industrial Acquires Blackstone Industrial Assets in Combined $1 Billion Investment
Mar 28 KEX Kirby Corporation Announces Date for 2024 First Quarter Earnings Release and Earnings Webcast
Mar 28 COTY 20 Best-Selling Perfumes That Never Go Out of Style
Mar 28 OLLI Ollie's Stock Ascending In Sync With Expansion And Dramatic Profit Growth
Mar 28 MSM Crude Oil Surges Over 2%; MSC Industrial Shares Fall After Q2 Results
Mar 28 VST Starter Stock Portfolio: 12 Safe Stocks To Invest In Now
Mar 28 ZI ZoomInfo: Product Innovation Is Exciting, But Growth Is Lacking
Mar 28 TOL Toll Brothers Opens Two New Collections of Luxury Homes in Apopka, Florida
Mar 28 CLH Insider Sell: EVP Brian Weber Sells 7,996 Shares of Clean Harbors Inc (CLH)
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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