ETF Components for SPDW - SPDR Portfolio World ex-US 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
TM D -3.23 1.20
NVS B 0.72 0.84
MUFG C -0.10 0.54
UL B 5.93 0.53
TD C 0.75 0.47
SONY F -0.33 0.45
SHOP C -2.37 0.37
CNI C 1.56 0.36
ABBV C -0.30 0.35
DEO F -1.47 0.33
SMFG C 0.00 0.32
HMC D -2.21 0.26
STLA C -1.05 0.23
MFG B -0.51 0.21
WCN C -0.60 0.19
LYG A -0.79 0.19
E A 0.61 0.17
SPOT B 2.77 0.16
BCS A 7.92 0.14
PKX D -0.48 0.11
SE A -0.70 0.10
KB C 0.97 0.10
CPNG A 1.01 0.10
CHKP D -5.00 0.09
ICLR C -3.02 0.09
NMR D -1.69 0.07
CCEP B 1.84 0.07
SHG C 0.73 0.07
LOGI D -0.87 0.06
MT D 0.08 0.06
FLEX B 0.70 0.06
TEVA C 1.84 0.06
CYBR C 0.22 0.06
XRX F -1.39 0.05
ONON D -1.30 0.04
GRAB A 0.57 0.04
AGCO B -0.86 0.04
QGEN D -1.06 0.04
ARM F -1.95 0.04
WIX D -0.42 0.03
MNDY D -1.09 0.03
GSL A 0.36 0.03
AER A 0.08 0.03
BNTX F -1.57 0.03
GLOB F -2.27 0.03
OTEX D -0.78 0.03
FUTU A -1.53 0.02
AEI F -3.36 0.02
WFG C 0.31 0.02
MRUS C 7.05 0.02
GLNG A -0.64 0.02
ASND D -4.37 0.02
XENE D 1.52 0.02
FLUT C 0.50 0.02
KEP C 0.92 0.02
TIGO A 0.60 0.01
MLCO F 0.64 0.01
LSPD D -2.72 0.01
NAT D 1.85 0.01
GRFS F -1.88 0.01
AY A -2.16 0.01
ZIM B -0.70 0.01
CSTM B 1.90 0.01
GLBE F -2.15 0.01
TAC C 3.17 0.01
LPL D -2.22 0.01
URGN F -2.74 0.01
DAVA F -3.00 0.01
IGT F -1.36 0.01
NOMD C -0.90 0.01
LPL D -2.22 0.01
KRNT F -4.94 0.01
IAG A 3.06 0.01
IMCR D -0.80 0.01
MNMD B 0.71 0.00
MTLS D -3.61 0.00
HL B -3.63 0.00
CVAC F -7.97 0.00
ORMP F -2.95 0.00
GRVY D -1.71 0.00
RENB F -13.71 0.00
CALX F -0.07 0.00
AMRN F -2.11 0.00
ADAP D -1.85 0.00
MNTX F -0.72 0.00
DNN B 0.00 0.00
NNDM F -1.99 0.00
SSYS F -1.11 0.00
CHGX C -0.37 0.00
SNDL A -2.50 0.00
NBTX D 0.17 0.00
AUPH F -3.18 0.00
NNVC F -3.48 0.00
RDWR C -1.26 0.00
ELBM F -1.12 0.00
ABCL F -6.92 0.00
SPNS A 0.00 0.00
TLRY F -4.89 0.00
JMIA D -2.22 0.00
FVRR D -2.00 0.00
PIXY F -3.09 0.00
INMD F -1.96 0.00
PDS A 1.34 0.00
HCM A 3.15 0.00
CSIQ F -3.07 0.00

Recent News for SPDR Portfolio World ex-US ETF & its Holdings

Date Stock Title
Apr 26 LPL LG Display Co., Ltd. (LPL) Q1 2024 Earnings Call Transcript
Apr 25 HMC Honda to spend C$15B to expand electric vehicle efforts in Canada
Apr 25 STLA Stellantis (STLA) Suffers a Larger Drop Than the General Market: Key Insights
Apr 25 SPOT 10 Best Streaming Service Stocks To Buy
Apr 25 SHOP 10 Best E-Commerce Stocks To Buy According to Analysts
Apr 25 SE Sea Limited Sponsored ADR (SE) Registers a Bigger Fall Than the Market: Important Facts to Note
Apr 25 SHOP 13 Best Growth Stocks To Invest In For the Next 5 Years
Apr 25 AER McGrath (MGRC) Q1 Earnings and Revenues Top Estimates
Apr 25 PDS Precision Drilling Corporation (PDS) Q1 2024 Earnings Call Transcript
Apr 25 ABBV Cigna to offer Humira rivals with $0 copay at specialty pharmacy
Apr 25 ASND Ascendis Pharma to Report First Quarter 2024 Financial Results and Provide Business Update on May 2, 2024
Apr 25 TIGO Millicom appoints Marcelo Benitez as CEO
Apr 25 TAC TransAlta Corporation Announces Results of the Annual Meeting of Shareholders and Election of all Directors
Apr 25 TLRY Tilray Brands Celebrates Big Wins at the Craft Brewer’s Conference and 2024 World Beer Cup, the Most Prestigious Beer Competition in the World
Apr 25 TIGO Millicom (Tigo) Board of Directors Appoints Marcelo Benitez as CEO
Apr 25 HL Hecla First Quarter 2024 Results Conference Call/Webcast and Virtual Investor Event
Apr 25 SSYS Stratasys Brings High-Definition Printing to its leading SAF Lineup; Announces Upgraded H350
Apr 25 ICLR ICON Public Limited Company (ICLR) Q1 2024 Earnings Call Transcript
Apr 25 UL Unilever Personal Care brands to partner CONMEBOL Copa América USA 2024™
Apr 25 AGCO AGCO declares $0.29 dividend & special variable dividend of $2.50/share
The investment seeks investment results that, before fees and expenses, correspond generally to the total return performance of the S&P Developed Ex-U.S.BMI Index. The fund generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index and in depositary receipts based on securities comprising the index. The index is a market capitalization weighted index designed to define and measure the investable universe of publicly traded companies domiciled in developed countries outside the United States. The fund is non-diversified.
Exchange Traded Funds Index Fund Stock Market Index Depositary Receipt
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