ETF Components for SPTM - SPDR Portfolio Total Stock Market 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
NVDA A -0.66 6.57
AAPL C -0.53 6.31
MSFT D 0.10 5.77
AMZN B -1.19 3.59
META C -1.29 2.29
GOOGL B -3.90 1.87
TSLA B 0.33 1.57
BRK.A B -0.47 1.56
GOOG B -4.34 1.55
AVGO D 0.03 1.44
JPM B 0.98 1.25
LLY F -1.52 1.13
UNH B -0.01 0.99
XOM A 0.24 0.97
V A 0.02 0.93
MA B -0.19 0.78
COST A 0.53 0.74
HD C 0.55 0.73
PG C -0.09 0.71
JNJ D 0.00 0.66
WMT A 0.09 0.66
NFLX A -0.33 0.65
CRM B 0.96 0.58
BAC A 0.94 0.56
ORCL A 0.65 0.54
ABBV F -0.19 0.54
CVX A 0.24 0.50
MRK F 0.00 0.46
WFC A 1.09 0.45
KO D 0.25 0.44
ACN B 0.66 0.42
CSCO B -0.57 0.42
ADBE D -0.75 0.42
PEP F 0.08 0.41
AMD F -0.51 0.41
MCD D -2.27 0.39
NOW B 1.08 0.39
LIN D 0.30 0.39
ABT B -0.16 0.37
TMO D -0.64 0.37
DIS B 0.23 0.36
INTU B 2.31 0.36
PM A 0.29 0.36
ISRG A -0.27 0.35
IBM C 0.69 0.35
GE D -0.23 0.35
GS B 0.80 0.34
CAT C -0.29 0.34
TXN C -0.61 0.34
QCOM F 0.16 0.33
CMCSA B -0.40 0.31
VZ C -0.36 0.31
SPGI D 0.62 0.30
MS B 1.56 0.30
BKNG A 0.67 0.30
RTX D -0.12 0.29
T A 0.13 0.29
AMGN D -0.65 0.29
AXP B -0.05 0.29
PGR B 0.30 0.28
LOW C -0.02 0.28
AMAT F 1.07 0.28
DHR D -0.32 0.28
NEE C -0.34 0.28
BLK B 0.17 0.27
UBER F 1.26 0.27
PFE F -0.30 0.27
HON B 0.05 0.27
UNP D 0.48 0.26
ETN B 0.00 0.26
BSX A 0.23 0.24
COP B 0.70 0.24
BX A 0.34 0.24
SYK A 0.15 0.24
C B 0.44 0.24
TJX A -0.70 0.24
ADP B 0.51 0.23
VRTX D -0.79 0.23
PANW A 2.34 0.23
BMY B -0.55 0.22
FI A -0.11 0.22
SCHW A 0.27 0.22
LMT D 0.17 0.21
SBUX B 0.76 0.21
TMUS B -0.30 0.21
GILD B -0.21 0.21
PLTR B 0.50 0.21
MDT D 0.25 0.20
MU D 2.05 0.20
MMC D -0.04 0.20
PLD D -0.73 0.19
INTC C -0.33 0.19
ADI D -0.20 0.19
CB D 0.22 0.19
UPS C -0.15 0.18
ANET D 3.41 0.18
LRCX F 1.93 0.18
KKR B 0.26 0.18
BA D 0.00 0.18
DE C 5.12 0.18
AMT D -0.76 0.17
PH B 0.66 0.17
SHW C -0.43 0.17
ELV F 0.28 0.17
MO A -0.05 0.17
TT A 0.65 0.17
SO C -0.22 0.17
KLAC F 1.02 0.16
DUK C -0.17 0.16
MDLZ F -0.49 0.16
PYPL B -0.27 0.16
APH B 1.75 0.16
GEV A 0.63 0.16
CI D -0.36 0.16
NKE F 0.56 0.16
ICE D 0.06 0.16
CRWD B 1.07 0.15
CME A -0.05 0.15
MCK A -0.30 0.15
WM B -0.29 0.15
AON B -0.56 0.15
CMG C 0.02 0.15
CDNS B 0.24 0.15
MSI A -0.16 0.15
SNPS C 0.52 0.15
PNC B 0.25 0.15
REGN F -0.25 0.15
EQIX A -0.18 0.15
EMR A -0.29 0.14
GD D 0.27 0.14
MMM D -1.01 0.14
ITW B -0.35 0.14
CTAS B -0.21 0.14
WELL A -0.12 0.14
MCO B 0.09 0.14
ZTS D -0.20 0.14
USB A 1.07 0.14
EOG A 0.32 0.14
CEG C 0.04 0.13
COF B 0.48 0.13
APD A -0.59 0.13
CSX C 0.20 0.13
TGT F 0.30 0.13
TDG D -0.35 0.13
ORLY B 0.11 0.13
CL D 0.00 0.13
FCX F -0.80 0.12
HCA F -2.09 0.12
CARR D 0.11 0.12
OKE A 0.90 0.12
AJG A -0.23 0.12
MAR B 0.62 0.12
FDX B 0.27 0.12
BDX F -0.20 0.12
ADSK A 0.32 0.12
GM B 0.24 0.12
NOC D -0.18 0.12
WMB A -0.09 0.12
CVS D -0.48 0.12
SRE A 0.00 0.11
ABNB C -1.23 0.11
NXPI F 0.15 0.11
JCI B 0.48 0.11
URI B 0.69 0.11
TRV B -0.58 0.11
FICO A -0.41 0.11
ROP C -0.21 0.11
PCAR C 0.86 0.11
HLT A -0.10 0.11
NSC B -0.06 0.11
FTNT B 0.66 0.11
ECL D 0.04 0.11
SLB C 0.90 0.11
TFC B 0.39 0.11
KMI A 0.25 0.10
PSA D -0.26 0.10
GWW B -0.14 0.10
PSX C -0.22 0.10
SPG A -0.08 0.10
RCL A 0.30 0.10
AMP A 0.67 0.10
AFL C 0.53 0.10
DLR A -0.07 0.10
AZO C 0.00 0.10
BK B 0.46 0.10
PAYX B -0.01 0.09
DHI D 0.23 0.09
FIS C -1.39 0.09
MET A 1.52 0.09
FAST B -0.08 0.09
NEM D 0.63 0.09
LHX B -0.21 0.09
AIG D -0.13 0.09
ROST D 0.23 0.09
VST A 2.79 0.09
MSCI C -0.20 0.09
CMI A 0.16 0.09
AEP C -0.10 0.09
CPRT B 0.25 0.09
MPC C 0.18 0.09
ALL A 0.36 0.09
CBRE B 0.36 0.08
VRSK A -0.15 0.08
DAL A 0.75 0.08
MNST C -0.69 0.08
IR B -0.54 0.08
IT C -0.09 0.08
LEN D 0.09 0.08
AXON A 2.93 0.08
VLO C 0.09 0.08
F C 0.19 0.08
TRGP A 0.35 0.08
DFS B 0.63 0.08
BKR A 0.02 0.08
PEG A 0.21 0.08
RSG A -0.51 0.08
PCG A -0.14 0.08
AME A 0.00 0.08
CCI C -0.34 0.08
HWM A -0.12 0.08
KMB C 0.09 0.08
KVUE A -0.13 0.08
PRU B 0.60 0.08
O D -0.25 0.08
D C -0.11 0.08
PWR A 1.08 0.08
HIG A 0.02 0.07
DD D 0.15 0.07
GLW B -0.07 0.07
VMC B 0.08 0.07
MLM B 0.12 0.07
NUE D -0.92 0.07
ACGL D 0.77 0.07
DELL C 1.31 0.07
EXC C -0.46 0.07
GIS D -0.47 0.07
SYY D 0.34 0.07
YUM D -0.60 0.07
A F 1.21 0.07
XEL A 0.09 0.07
LULU C -0.12 0.07
KR B -0.13 0.07
HES B 0.10 0.07
STZ D -0.11 0.07
CHTR B -0.89 0.07
EW C -0.24 0.07
ODFL B 0.38 0.07
CTVA C 0.31 0.07
EA A -0.53 0.07
OTIS D -0.36 0.07
COR B -0.56 0.07
CTSH B 0.24 0.07
STT A 0.22 0.06
TSCO D 0.74 0.06
WEC A -0.30 0.06
GPN C 0.76 0.06
CSGP C -0.49 0.06
EIX C -0.12 0.06
VICI C -0.16 0.06
DOW F -0.28 0.06
AVB B 0.11 0.06
GRMN B 0.98 0.06
EFX F 0.00 0.06
FANG C 0.85 0.06
HPQ B 0.58 0.06
CNC F -0.39 0.06
FITB B 0.00 0.06
NDAQ A 0.40 0.06
WTW B -0.25 0.06
GEHC C -0.74 0.06
IRM C 0.65 0.06
ED C -0.22 0.06
ROK B 0.00 0.06
EXR C -0.36 0.06
OXY D 0.23 0.06
RMD C 0.17 0.06
KDP D -0.22 0.06
IQV F -0.11 0.06
HUM C 0.53 0.06
MCHP F 0.28 0.06
WAB B 0.00 0.06
IDXX F -2.00 0.06
MTB A 0.49 0.06
NTAP C 0.29 0.05
CCL A 0.90 0.05
DTE C 0.19 0.05
SW A -1.99 0.05
WST C -0.64 0.05
EQR C 0.00 0.05
TYL B -0.34 0.05
TPL A 0.00 0.05
PPL A -0.09 0.05
BRO B -0.05 0.05
DVN F 0.76 0.05
RF A 0.88 0.05
KHC F -0.29 0.05
HBAN B 0.29 0.05
AWK C -0.32 0.05
FTV C 0.02 0.05
MTD F 0.00 0.05
DECK A -0.12 0.05
HSY F 0.11 0.05
CHD A -0.24 0.05
BR B -0.05 0.05
HAL C 1.03 0.05
TROW B -0.28 0.05
SYF B 0.12 0.05
GDDY A 0.18 0.05
KEYS A -0.55 0.05
HPE B 1.04 0.05
CPAY A 0.34 0.05
NVR D -0.91 0.05
MPWR F -0.59 0.05
UAL A -0.24 0.05
PHM D 0.19 0.05
DXCM C -0.74 0.05
EBAY D -0.22 0.05
DOV B 0.25 0.05
TTWO A 0.00 0.05
PPG F -0.26 0.05
ON F -1.20 0.05
XYL D 0.81 0.05
ANSS B 0.34 0.05
ETR A -0.29 0.05
RJF A 0.00 0.05
CAH B -0.66 0.05
ESS B -0.02 0.04
PFG C 0.00 0.04
CMS C 0.00 0.04
INVH D -0.15 0.04
CTRA B 0.88 0.04
STX D 0.39 0.04
CNP A -0.54 0.04
WDC F 0.57 0.04
HOLX D -0.11 0.04
IP A -0.93 0.04
SNA B 0.00 0.04
BALL D -0.64 0.04
DRI C -0.19 0.04
LH B -0.56 0.04
CLX A -0.37 0.04
LII A 1.68 0.04
OMC D 0.00 0.04
K A 0.00 0.04
ES C 0.00 0.04
FSLR F 0.51 0.04
FE C 0.11 0.04
ZBRA B -0.25 0.04
LYB F -0.22 0.04
STLD B -0.37 0.04
ATO A 0.27 0.04
WBD B -0.15 0.04
CBOE C 0.14 0.04
CFG B 0.00 0.04
TDY B 0.73 0.04
CSL C -0.23 0.04
STE D 0.03 0.04
NTRS A 0.18 0.04
IFF D -0.51 0.04
PKG A -0.25 0.04
WAT B 0.00 0.04
BLDR F -0.58 0.04
AEE A -0.07 0.04
ZBH C 0.00 0.04
ILMN C -0.20 0.04
VLTO C -1.06 0.04
LDOS C 1.49 0.04
PTC B 0.00 0.04
CINF A 0.00 0.04
WY D 0.00 0.04
EME A 0.95 0.04
EXPE B 0.32 0.04
SBAC D 0.00 0.04
EQT A 2.45 0.04
ADM D -0.11 0.04
BIIB F -0.57 0.04
HUBB B 0.36 0.04
CDW F 0.00 0.04
VTR B 0.08 0.04
USFD A 0.05 0.03
POOL D 0.63 0.03
SWKS F 0.25 0.03
EPAM C 0.00 0.03
CW B 0.54 0.03
CASY A 0.23 0.03
DOC D -0.51 0.03
DLTR F 0.37 0.03
ROL B 0.00 0.03
NI A -0.21 0.03
AVTR F 0.00 0.03
INCY C -0.05 0.03
EVRG A -1.03 0.03
PSTG F 1.23 0.03
AMCR C 1.00 0.03
SAIA C 2.98 0.03
EL F 1.10 0.03
EWBC A 0.72 0.03
RVTY D 0.46 0.03
ACM B 0.46 0.03
FIX A 1.31 0.03
LNT A 0.00 0.03
FFIV A 0.00 0.03
GGG B 0.00 0.03
EQH B 0.07 0.03
VTRS A -0.04 0.03
RGA B -0.14 0.03
APTV F -0.17 0.03
L A -0.22 0.03
EG C 0.34 0.03
JBHT C -0.74 0.03
FNF D 0.00 0.03
DPZ C 0.09 0.03
ALGN D 0.94 0.03
BAX F 0.12 0.03
TER F 0.42 0.03
DOCU B 0.42 0.03
AVY D 0.20 0.03
JBL C 0.66 0.03
VRSN D 0.02 0.03
CF A 0.39 0.03
KIM A 0.16 0.03
SFM B 0.21 0.03
WSM C -2.26 0.03
MRO A 0.57 0.03
DG F 1.31 0.03
ARE F 0.24 0.03
RBA A -0.23 0.03
WSO A 0.00 0.03
TXT D 0.65 0.03
UTHR C -0.09 0.03
NRG B 0.02 0.03
THC C -3.51 0.03
XPO B 0.84 0.03
BURL B -1.89 0.03
IEX B 0.00 0.03
OC A -0.05 0.03
MANH D 0.57 0.03
TOL B 0.52 0.03
GEN B -0.24 0.03
GPC F -0.09 0.03
DGX A -0.48 0.03
PNR B -0.13 0.03
RS B -0.01 0.03
MAS D -0.23 0.03
LVS B -0.99 0.03
EXPD D 0.07 0.03
TRMB B 0.09 0.03
RPM B -0.03 0.03
MAA B -0.08 0.03
MOH F -1.40 0.03
PODD B -0.68 0.03
KEY B 0.37 0.03
J D 0.57 0.03
BBY D 0.33 0.03
LYV A -0.45 0.03
MKC C 0.16 0.03
TSN B 0.06 0.03
ULTA F -1.93 0.03
LUV B -0.22 0.03
FDS B 0.30 0.03
WRB A 0.16 0.03
IBKR A 0.55 0.03
PEN B -1.14 0.02
TREX C -0.81 0.02
FRT B -0.14 0.02
HAS D -0.19 0.02
CNH C 1.40 0.02
PLNT A -0.10 0.02
HII F 0.25 0.02
BWA D 0.00 0.02
SMCI F 5.63 0.02
SNV B 0.00 0.02
CVLT A 0.39 0.02
WMS F -0.08 0.02
MHK D 0.32 0.02
DVA C 1.50 0.02
RL C 0.40 0.02
LNW F 0.00 0.02
ENPH F -0.39 0.02
HRB D -0.92 0.02
OGE A 0.07 0.02
CR A -0.34 0.02
KBR F -0.51 0.02
RHI C -0.46 0.02
CHE D 0.70 0.02
LUMN C 0.13 0.02
CRS A -0.70 0.02
WTRG B -0.04 0.02
BRX A 0.00 0.02
AR B 3.71 0.02
MTCH F -0.31 0.02
FLR B 0.00 0.02
REXR F 0.00 0.02
HRL D -0.36 0.02
FN C -2.56 0.02
TFX F 0.00 0.02
CBSH B 0.51 0.02
GPK D -0.63 0.02
TTC F -0.23 0.02
AAL B -0.59 0.02

Recent News for SPDR Portfolio Total Stock Market ETF & its Holdings

Date Stock Title
Nov 21 DELL Nvidia's results are a positive for Dell and enterprise AI demand: Citi
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 DELL Nvidia results positive for Dell, HPE, SuperMicro: Citi
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Nov 21 XOM Exxon Mobil's (NYSE:XOM) investors will be pleased with their strong 111% return over the last three years
Nov 21 ABG Asbury Automotive Group Named to Newsweek’s World’s Most Trustworthy Companies 2024
Nov 21 PRGS Progress Unveils Native Next.js Support in Sitefinity, Offering Maximum Flexibility to Create and Scale Digital Experiences
Nov 21 NCLH OCEANIA CRUISES CELEBRATES 15 YEARS OF THE CULINARY CENTER, THE WORLD'S FIRST HANDS-ON COOKING SCHOOL AT SEA
Nov 21 VTRS Viatris Inc. (VTRS) Management Presents at Jefferies London Healthcare Conference (Transcript)
Nov 21 TSLA Tesla's Optimus humanoid robot has a pop culture moment
Nov 21 DE Dow Jones Futures Extend Gains On Surprise Jobless Claims; Nvidia Ventures Into The Black
Nov 21 DE Deere’s stock rises on quarterly results; outlook weakens
Nov 21 XOM Exxon targets $200M to expand plastics recycling operations at Texas plants
Nov 21 SDGR Schrödinger: Positive Signs Despite The Share Price Decline
Nov 21 JJSF J & J Snack Foods appoints CFO
Nov 21 TSLA Tesla Stock Is Dropping After Nvidia Earnings, European EV Sales
Nov 21 RBA IAA Announces New Market Alliance in Oman
Nov 21 META 3 Stocks That Could Go on a Bull Run Before 2024 Is Over
Nov 21 META Meta Platforms (META) Rose as its Results Beat Estimates
Nov 21 SCVL A Warm Fall and Hurricanes Hurt Shoe Carnival Sales in Q3
The investment seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the SSGA Total Stock Market Index that tracks a broad universe of exchange traded U.S. equity securities. The fund generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index. It may invest in equity securities that are not included in the index (including common stock, preferred stock, depositary receipts and shares of other investment companies), cash and cash equivalents or money market instruments. The fund is non-diversified.
Exchange Traded Fund ETF Exchange Traded Funds Stock Market Index Stock Fund State Street Global Advisors Spdr S&P 500 Trust Etf
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