Holdings

Symbol Grade Price % Change Allocation
AVGO D 0.03 9.79
VZ C -0.28 7.13
HD C 0.55 4.02
ORCL A 0.65 3.51
CSCO B -0.28 2.67
ACN B 0.66 2.60
UNH B -0.01 2.43
IBM C 0.69 2.33
TXN C -0.61 2.30
QCOM F 0.16 2.18
MCD D -2.27 2.16
GS B 0.80 1.86
XOM A 0.24 1.82
LOW C -0.02 1.54
MS B 1.75 1.52
JNJ D 0.00 1.50
C B 0.44 1.38
ADI D -0.20 1.30
ABBV F -0.19 1.29
KO D 0.25 1.28
SBUX B 0.76 1.12
MRK F 0.00 1.10
PEP F 0.08 1.09
CVX A 0.24 0.89
PNC B 0.25 0.87
PM A 0.29 0.86
CAT C -0.29 0.82
ABT B -0.16 0.81
USB A 0.71 0.79
AMGN D -1.17 0.68
UNP D 0.48 0.67
HON B 0.05 0.65
TFC B 0.39 0.65
PFE F -0.30 0.62
ETN B 0.00 0.60
BK B 0.46 0.57
O D -0.25 0.55
APD A -0.47 0.55
LMT D 0.17 0.54
CCI C -0.34 0.52
ADP B 0.51 0.51
MET A 1.48 0.50
BMY B -0.31 0.48
PRU B 0.60 0.46
GILD B -0.49 0.46
MDT D 0.25 0.46
SO C -0.22 0.46
MO A -0.21 0.46
MCHP F 0.24 0.45
IPG D 0.00 0.45
GLW B -0.07 0.43
CI D -0.36 0.43
DE C 4.77 0.43
DUK C -0.17 0.42
HPQ B 0.58 0.42
UPS C -0.15 0.40
PH B 0.66 0.39
TGT F 1.14 0.37
WM B -0.29 0.35
HPE B 0.78 0.35
GRMN B 0.98 0.35
MTB A 0.55 0.34
GD D 0.27 0.34
FITB B 0.00 0.33
EMR A 0.09 0.32
ITW B -0.35 0.32
NOC D 0.00 0.31
CVS D -0.48 0.31
TSCO D 0.74 0.31
NTAP C 0.29 0.30
STT A 0.22 0.29
FDX B 0.27 0.28
BDX F -0.20 0.28
EQR C 0.00 0.27
TROW B -0.12 0.27
HBAN B 0.29 0.26
AEP C -0.10 0.26
NSC B -0.06 0.26
STX D 0.18 0.26
RF A 0.88 0.25
PPG F -0.26 0.25
CINF A 0.00 0.24
KMB C 0.09 0.23
CFG B 0.00 0.22
KVUE A -0.13 0.22
NTRS A 0.18 0.21
OKE A 0.90 0.21
MAA B -0.08 0.21
GPC F -0.09 0.21
SYY D 0.34 0.20
NXST D -0.45 0.20
LYB F -0.22 0.20
CMI A 0.16 0.20
LHX B 0.01 0.20
PFG C 0.00 0.19
GIS D -0.47 0.19
EXC C -0.44 0.19
PSX C -0.22 0.19
PAYX B -0.01 0.19
FAST B -0.07 0.19
BBY D 0.33 0.19
KEY B 0.37 0.18
RSG A -0.34 0.18
KMI A 0.30 0.17
FNF D 0.00 0.17
SWKS F 0.25 0.17
PKG A -0.25 0.17
VLO C 0.09 0.16
EIX C -0.12 0.16
AVY D 0.00 0.15
UDR C -0.02 0.15
JNPR D -1.46 0.15
WEC A -0.30 0.15
ETR A -0.29 0.15
ROK B 0.00 0.14
RPM B -0.03 0.14
AMCR C 1.25 0.13
CUBE D -0.19 0.13
CF A 0.18 0.13
BXP D 0.58 0.12
UNM A 2.10 0.12
JEF A 0.92 0.12
CCOI B 0.06 0.12
CAH B -0.66 0.12
DOV B 0.39 0.12
DKS D -0.43 0.12
K A 0.02 0.11
FE C 0.11 0.11
ALLY C 0.80 0.11
ES C 0.00 0.11
LDOS C 1.87 0.11
BR B -0.05 0.11
OHI C -0.15 0.11
ORI A 0.00 0.10
WBS A 0.37 0.10
CLX A -0.28 0.10
HUBB B 0.36 0.10
FHN B 0.00 0.10
EMN D -0.68 0.10
TSN B 0.18 0.09
NNN C -0.25 0.09
WSO A 0.00 0.09
HRB D -0.50 0.09
CMA B 0.47 0.09
HAS D 0.41 0.09
FRT B 0.00 0.09
SNV B 0.00 0.08
CFR B 0.00 0.08
PB B 0.23 0.08
ZION B 0.32 0.08
ADC A 0.00 0.08
GBCI B 0.00 0.07
OC A -0.05 0.07
STWD C 0.05 0.07
BEN C -0.09 0.07
CADE B 0.00 0.07
FAF A 0.00 0.07
CAG D 0.00 0.07
EVRG A -1.03 0.07
SNA B 0.00 0.07
DGX A -0.48 0.07
BAX F 0.12 0.07
GPK D -0.63 0.07
CE F 0.51 0.07
ONB B 0.57 0.07
MAS D -0.23 0.07
DLB B 0.00 0.06
RDN D 0.36 0.06
CHRW B -0.12 0.06
AVT C 0.38 0.06
JHG B 0.27 0.06
SJM D -0.43 0.06
UBSI B 0.63 0.06
FNB B 0.79 0.06
SWK F 0.04 0.06
LNC B 0.96 0.06
FMC D 0.94 0.06
COLB B 0.80 0.06
WHR B -0.38 0.06
PNW A -0.07 0.05
LECO C 0.64 0.05
OZK B 0.00 0.05
ALLE D 0.06 0.05
CTRE C 0.00 0.05
CBT C 0.41 0.05
IDCC B 0.55 0.05
NVT C 1.19 0.05
HIW D 0.00 0.04
FHB B 0.00 0.04
NSA C -0.10 0.04
HII F 0.25 0.04
CDP D 0.00 0.04
CATY B 0.77 0.04
CBU B 0.00 0.04
SLGN A 0.00 0.04
DCI B -0.28 0.04
TTC F 0.24 0.04
PII F 0.28 0.04
WU F 0.56 0.04
KRC C 0.00 0.04
AVNT B 0.80 0.04
ASB B 0.41 0.04
AUB B 0.00 0.04
FULT B 0.00 0.04
UCB A 0.82 0.04
VLY B 0.49 0.04
SON D 0.00 0.04
AOS F 0.00 0.04
OGE A 0.07 0.04
SEE D -0.37 0.04
HRL D -0.36 0.04
INGR B 0.28 0.04
CPB D -0.41 0.04
UGI C 0.00 0.03
CC C 1.82 0.03
NFG A 0.91 0.03
CVBF A 0.00 0.03
OSK C 0.00 0.03
LCII C 0.00 0.03
FCPT C 0.00 0.03
SXT C 0.00 0.03
FFBC B 1.01 0.03
SFNC B 0.62 0.03
DTM A 2.58 0.03
FLS A -0.43 0.03
FHI B 0.00 0.03
ABR C -0.82 0.03
INDB B 0.00 0.03
BOH B 0.00 0.03
ASH F -0.60 0.03
BKU A 0.00 0.03
WAFD B 0.00 0.03
RHI C -0.46 0.03
NEU D 0.00 0.03
R B -0.77 0.03
HASI F 0.89 0.03
NWE C 0.37 0.02
KFY B 0.46 0.02
ALE A 0.05 0.02
MSM D 0.00 0.02
OGN F 0.27 0.02
TKR F 0.41 0.02
OGS A 0.33 0.02
SR A 0.42 0.02
PZZA F -0.80 0.02
FLO D -0.32 0.02
TRMK B 0.00 0.02
SWX A 0.00 0.02
BKH A 0.00 0.02
POR C 0.02 0.02
GATX A 0.00 0.02
VSH F 0.20 0.02
SMG C 0.49 0.02
MMS D -5.56 0.02
BANR B 0.91 0.02
PDCO F -0.90 0.01
HI C 0.41 0.01
KMT C 0.07 0.01
B A 0.04 0.01
ENR A 0.61 0.01
WERN B 0.00 0.01
TRN B 0.00 0.01
NAVI F 0.00 0.01
NSP F 0.00 0.01
MAN F 0.22 0.01
AVA C 0.00 0.01
ABM B 0.00 0.01
PRGO C -0.61 0.01
BRC C 0.00 0.01
XRAY D 0.00 0.01

Recent News for SPDR Portfolio S&P Sector Neutral Dividend ETF & its Holdings

Date Stock Title
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 XOM Exxon Mobil's (NYSE:XOM) investors will be pleased with their strong 111% return over the last three years
Nov 21 DE Dow Jones Futures Extend Gains On Surprise Jobless Claims; Nvidia Ventures Into The Black
Nov 21 DE Deereā€™s stock rises on quarterly results; outlook weakens
Nov 21 XOM Exxon targets $200M to expand plastics recycling operations at Texas plants
Nov 21 LMT Lockheed Martin Stock Under Pressure With Technicals Hinting At Recovery Potential
Nov 21 DE Deere Q4 Earnings: Beats Expectations, Steep Sales Drop, Margins Squeeze & More
Nov 21 XOM Exxon, under fire over plastic recycling, spending $200 million to expand Texas plants
Nov 21 MO Top Dividend Stock Altria Is Currently Trading In A Buy Zone
Nov 21 XOM ExxonMobil to Expand Advanced Recycling Capacity
Nov 21 XOM Oil Price Ticks Lower on Inventory Gain, China Weakness
Nov 21 LMT Romania Becomes the 20th Member of the F-35 Global Alliance
Nov 21 DE Deere Sees Lower 2025 Profit With Farmers Still Not Spending
Nov 21 DE Deere (DE) Beats Q4 Earnings and Revenue Estimates
Nov 21 GD Insiders At General Dynamics Sold US$23m In Stock, Alluding To Potential Weakness
Nov 21 MCD China's Trustar raises $1 billion for vehicle that holds McDonald's China stake, sources say
Nov 21 DE Deere (NYSE:DE) Reports Bullish Q3
Nov 21 XOM LG Chem agrees to source lithium from ExxonMobil
Nov 21 DE Earnings Snapshot: Deere & Company tops FQ4 estimates; initiates FY25 outlook
Nov 21 DE Deere Reports Net Income of $1.245 Billion for Fourth Quarter, $7.1 Billion for Fiscal Year
SPDR Series Trust - SPDR Portfolio S&P Sector Neutral Dividend ETF is an exchange traded fund launched by State Street Global Advisors, Inc. The fund is managed by SSGA Funds Management, Inc. The fund invests in public equity markets of the United States. The fund invests in stocks of companies operating across diversified sectors. It invests in growth and value stocks of companies across diversified market capitalization. The fund invests in dividend paying stocks of companies. It seeks to track the performance of the S&P Sector-Neutral High Yield Dividend Aristocrats Index, by using representative sampling technique. SPDR Series Trust - SPDR Portfolio S&P Sector Neutral Dividend ETF is domiciled in the United States.
Exchange Traded Funds SPDR Dividend State Street Global Advisors S&P 400 Spdr Gold Shares
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