ETF Components for SDY - SPDR S&P Dividend 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
MMM A -1.05 2.19
O A 0.52 2.04
EIX A -0.04 1.86
XOM A 0.02 1.85
CVX A 0.44 1.79
IBM C 1.05 1.75
KMB A 1.28 1.69
TROW D -0.79 1.67
SO A 0.90 1.67
ABBV C -1.03 1.64
WEC A 0.82 1.63
ES A 0.81 1.62
ED A 0.64 1.49
TGT B -0.70 1.49
KVUE F -1.24 1.43
NEE A 0.54 1.41
MDT D -1.12 1.28
KO A 1.50 1.27
PEP A 3.62 1.25
XEL B 0.11 1.25
CLX C 1.24 1.23
TXN B 5.64 1.21
LMT A -0.20 1.20
ADM B -0.37 1.17
ATO A 0.84 1.17
GPC A -0.97 1.14
JNJ F -0.69 1.13
CINF A -0.75 1.13
SYY C 0.43 1.12
MKC A 1.11 1.10
BBY D -0.81 1.08
ESS A 2.31 1.08
PG A 0.68 1.08
CL A 0.33 1.07
EMR B -0.14 1.03
ADP B -0.09 1.00
SWK D -0.52 0.99
QCOM B 1.41 0.96
AFL B 0.63 0.94
APD D 0.42 0.93
LNT A 0.80 0.90
AMCR D 0.89 0.90
GD B -3.97 0.90
CAT A 0.07 0.89
LOW C -1.40 0.88
FAST D 0.92 0.88
LHX C 0.01 0.87
EVRG A 0.44 0.84
ITW C 0.45 0.84
MCD D -0.05 0.83
CAH D 0.16 0.83
ABT D -0.65 0.78
SJM D 0.72 0.77
MCHP B 5.21 0.75
WM A 0.79 0.72
HRL A 1.31 0.71
ADI B 3.46 0.68
RPM C 0.06 0.68
PPG D 0.07 0.68
AOS A -1.05 0.68
WMT A 1.32 0.66
NOC A -0.02 0.64
ERIE C -0.79 0.64
CB D -2.75 0.63
BDX F -0.23 0.63
WTRG B 0.77 0.62
DOV A -0.49 0.62
DCI A 0.06 0.60
RSG A 0.72 0.59
RGLD B 0.43 0.58
PNR D 0.66 0.58
NUE D -1.08 0.57
ATR C 0.19 0.57
LECO D -0.90 0.57
LIN D -0.17 0.56
TTC D 0.62 0.55
CHRW D 0.84 0.55
CSL A -1.06 0.54
BEN D 0.08 0.53
NNN C 0.44 0.52
ECL C 0.51 0.52
NKE D 0.66 0.52
GGG C -0.19 0.51
JKHY D -0.77 0.51
FRT A 0.71 0.50
CHD A 0.60 0.50
ORI A -0.03 0.49
CFR A 2.09 0.47
MSA A 0.36 0.47
NDSN D -0.77 0.44
SEIC D -0.60 0.44
ALB F 0.93 0.43
CBSH A 1.49 0.42
CTAS B -0.33 0.41
PB B 3.80 0.40
EXPD D -0.18 0.40
GWW C 0.26 0.40
UGI A 1.84 0.37
SON C 0.86 0.36
NFG A 2.83 0.35
SHW D 0.45 0.33
RNR C -0.17 0.33
PII F -1.49 0.32
FLO A 1.38 0.31
FDS D 0.69 0.31
OZK A 0.63 0.31
SPGI D 0.00 0.31
RLI A 1.34 0.31
BRO C -0.96 0.31
NJR A 0.60 0.30
FUL D -1.09 0.30
UBSI B 0.52 0.30
BMI A -1.75 0.29
CASY A 0.74 0.28
PRGO C 2.43 0.27
FELE B -0.74 0.27
BKH A 0.31 0.26
WRB D -1.56 0.26
UMBF B 1.24 0.24
LANC D 1.04 0.24
OGS B 0.65 0.24
ROP C -0.30 0.22
SR A 1.44 0.22
ABM A -0.27 0.21
CWT C 0.74 0.20
AVA A 0.59 0.19
LEG D -0.05 0.18
AWR D 0.83 0.18
BRC A 1.05 0.17
CBU C 1.75 0.16
CPK B 1.15 0.15
SCL C -0.42 0.12
SJW D 0.09 0.11
WST A -1.15 0.10

Recent News for SPDR S&P Dividend ETF & its Holdings

Date Stock Title
Apr 24 IBM Dow Jones Futures Fall As Meta Dives On Guidance; Chipotle Eyes Buy Point
Apr 24 CVX UPDATE 1-Hess sets April 12 record date for shareholder vote on Chevron merger
Apr 24 IBM IBM To Acquire HashiCorp For $6.4 Billion; Shares Fall As Company Reports Q1 Results
Apr 24 KO Coca-Cola (KO) Exceeds Market Returns: Some Facts to Consider
Apr 24 WM Waste Management Non-GAAP EPS of $1.75 beats by $0.25, revenue of $5.16B misses by $60M
Apr 24 TXN Impinj Stock Soars As Tracking-Chip Maker Delivers Beat-And-Raise Report
Apr 24 IBM IBM Falls on Weak Consulting Sales, Overshadowing HashiCorp Deal
Apr 24 CINF Cincinnati Financial Q1 2024 Earnings Preview
Apr 24 IBM IBM's Q1 Earnings: A Close Alignment with Analyst Projections Amid Strategic Moves
Apr 24 WMT UPDATE 2-Retailer Walmex's quarterly profit jumps on more stores, higher wages
Apr 24 WM WM Announces First Quarter 2024 Earnings
Apr 24 IBM IBM (IBM) Q1 Earnings Top Estimates
Apr 24 CSL Carlisle Q1 2024 Earnings Preview
Apr 24 WMT Retailer Walmex's quarterly profit jumps on more stores, higher wages
Apr 24 PEP Why PepsiCo Stock Was Bouncing Back Today
Apr 24 CVX Analysts Predict 20%+ Upside For These 3 Dividend Aristocrats
Apr 24 NEE Analysts Predict 20%+ Upside For These 3 Dividend Aristocrats
Apr 24 XOM Analysts Predict 20%+ Upside For These 3 Dividend Aristocrats
Apr 24 IBM IBM in charts: Software, infrastructure segments fall Q/Q while consulting ticks higher in Q1
Apr 24 IBM IBM earnings top estimates, acquiring HashiCorp for $6.4B
The investment seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of an index. In seeking to track the performance of the S&P High Yield Dividend Aristocrats Index, the fund employs a sampling strategy. It generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index. The index is designed to measure the performance of the highest dividend yielding S&P Composite 1500® Index constituents that have followed a managed-dividends policy of consistently increasing dividends every year for at least 20 consecutive years. It is non-diversified.
Exchange Traded Fund ETF Dividend Yield Dividend Aristocrat
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