Holdings

Symbol Grade Price % Change Allocation
XOM A 0.00 21.93
CVX A 0.00 15.51
COP B 0.00 7.49
WMB A 0.00 4.85
EOG A 0.00 4.54
OKE A 0.00 4.52
SLB C 0.00 4.25
PSX C 0.00 3.78
KMI A 0.00 3.69
MPC C 0.00 3.68
VLO C 0.00 3.17
TRGP A 0.00 3.00
BKR A 0.00 2.94
HES B 0.00 2.79
OXY D 0.00 2.36
FANG C 0.00 2.34
HAL C 0.00 1.85
EQT A 0.00 1.81
DVN F 0.00 1.67
CTRA B 0.00 1.33
MRO A 0.00 1.12
APA F 0.00 0.57

Recent News for SPDR Select Sector Fund - Energy Select Sector & its Holdings

Date Stock Title
Nov 21 OXY 3 No-Brainer Warren Buffett Stocks to Buy Right Now
Nov 20 HES Fourth oil production vessel for Guyana to depart in Q1 2025, Hess CEO says
Nov 20 HES Hess Corporation (HES): Guyana’s Growth Engine in Ken Griffin’s Portfolio
Nov 20 CVX Hess CEO Open to FTC Appeal Over Chevron Board Ban Next Year
Nov 20 XOM Big Oil Pours Billions into Biofuel Production to Meet Decarbonization Goals
Nov 20 CVX Big Oil Pours Billions into Biofuel Production to Meet Decarbonization Goals
Nov 20 COP ConocoPhillips: Stock Buybacks, Growth And 7% Earnings Yield
Nov 20 XLE XLE: Trump SPR Refill And Geopolitical Risk Point To Oil Rally In 2025
Nov 20 XOM Exxon pulls out of Suriname offshore block, Staatsolie says
Nov 20 COP ConocoPhillips Is An Overvalued Upstream Producer
Nov 20 HES Hess CEO says may appeal FTC's board seat ban when Trump takes office
Nov 20 EOG How to Possibly Earn a Huge 158% Payout with EOG Stock Call Spreads
Nov 20 CVX Chevron Options Trading: A Deep Dive into Market Sentiment
Nov 20 XOM ExxonMobil and LG Chem sign lithium supply MOU
Nov 20 XLE SA Charts: These S&P 500 companies spent the largest on buybacks last quarter
Nov 20 MPC Petrobras Q3 Earnings Beat Despite a Decline in Production
Nov 20 COP Petrobras Q3 Earnings Beat Despite a Decline in Production
Nov 20 CVX Petrobras Q3 Earnings Beat Despite a Decline in Production
Nov 20 OKE ONEOK to Sell Three Interstate Natural Gas Pipeline Systems for $1.2B
Nov 20 SLB Wall Street Analysts See Schlumberger (SLB) as a Buy: Should You Invest?
The investment seeks to provide investment results that, before expenses, correspond generally to the price and yield performance of publicly traded equity securities of companies in The Energy Select Sector Index. In seeking to track the performance of the index, the fund employs a replication strategy. It generally invests substantially all, but at least 95%, of its total assets in the securities comprising the index. The index includes companies from the following industries: oil, gas & consumable fuels; and energy equipment & services. The fund is non-diversified.
Exchange Traded Fund ETF Index Fund Energy Equipment Energy Select Sector Index
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