Components SPDR SSGA U.S. Sector Rotation ETF - USD

ETF

XLSR

US78470P4081

Market Closed - Nyse 04:10:00 2024-07-05 pm EDT 5-day change 1st Jan Change
51.66 USD +0.19% Intraday chart for SPDR SSGA U.S. Sector Rotation ETF - USD +1.51% +12.90%

Composition of SPDR SSGA U.S. Sector Rotation ETF - USD

Weight
40.14 USD -0.12%-6.19%+9.05%-.--%
154.3 USD -1.53%-1.35%+3.45%-.--%
299.8 USD -0.44%-2.46%-24.81%-.--%
168.7 USD +0.57%-3.65%+16.97%-.--%
108.8 USD -0.93%-4.19%+5.15%-.--%
390 USD +0.08%+1.07%-20.41%-.--%
129.1 USD -0.35%-2.52%-1.18%-.--%
203.5 USD -1.64%+1.67%+31.24%-.--%
152.5 USD -0.15%+0.57%+12.02%-.--%
152.8 USD -3.61%-2.54%+17.52%-.--%
47.03 USD -2.24%-0.78%+3.82%-.--%
200 USD +1.22%+3.49%+31.63%-.--%
135.6 USD -0.35%-3.81%-10.80%-.--%
46.52 USD -0.41%+0.13%+29.51%-.--%
37.18 USD -1.46%-6.44%-20.69%-.--%
31.32 USD -1.79%-2.85%-12.64%-.--%
251.6 USD +2.13%+27.17%+1.28%-.--%
82.25 USD -0.66%+0.86%+17.13%-.--%
214.4 USD -0.79%-1.74%+17.75%-.--%
113.4 USD -1.21%-1.52%+13.39%-.--%
19.89 USD -0.35%+0.10%+12.76%-.--%
12.84 USD -0.23%+2.39%+5.33%-.--%
58.45 USD +0.38%-0.90%-27.88%-.--%
36.32 USD -1.94%-1.78%-6.05%-.--%
75.43 USD +0.25%+0.08%-30.52%-.--%
41.45 USD -0.24%-0.34%-13.27%-.--%
251.1 USD +0.44%-1.47%-15.32%-.--%
34.22 USD -0.73%-2.70%+0.12%-.--%
76.05 USD -0.28%-2.31%-20.79%-.--%
334.6 USD +0.28%-2.81%-3.45%-.--%
17.48 USD -0.34%-6.97%-12.77%-.--%
146.9 USD -1.55%-0.43%+1.89%-.--%
46.14 USD -2.47%-2.20%-11.34%-.--%
111.6 USD +1.13%+1.40%+19.01%-.--%
1,027 USD +0.62%-2.77%+8.08%-.--%
493.7 USD -0.72%-4.38%+19.77%-.--%
112.6 USD -1.93%-1.60%-3.03%-.--%
124.9 USD -1.44%-0.74%+3.30%-.--%
82.45 USD +0.15%-2.18%+5.33%-.--%
52.87 USD +0.49%-1.58%+21.21%-.--%
467.6 USD +1.47%+4.61%+24.34%7.46%
226.3 USD +2.14%+7.44%+17.53%6.74%
539.9 USD +5.87%+7.08%+52.53%3.01%
190.6 USD +2.57%+4.64%+36.44%2.03%
1,703 USD -1.50%+6.09%+52.59%1.56%
125.8 USD -1.92%+1.85%+154.07%1.51%
914.6 USD +1.83%+1.02%+56.89%1.32%
204.8 USD -1.33%+1.25%+20.39%1.18%
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Description

US78470P4081
Total Expense Ratio 0.70%
Asset Class Actions
Sector
Size
Currency
Provider

Features and characteristics

Dividend Policy Distribution
Jurisdiction
Fund Structure
Date of creation
2019-04-01
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 488 M€
AuM 1M 462 M€
AuM 3 months 442 M€
AuM 6 months 360 M€
AuM 12 months 247 M€
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