Components SPDR S&P 500 ETF Trust - USD

ETF

S27

US78462F1030

Delayed Singapore S.E. 10:42:45 14/06/2024 am IST 5-day change 1st Jan Change
545 USD +0.05% Intraday chart for SPDR S&P 500 ETF Trust - USD +1.69% +12.20%

Composition of SPDR S&P 500 ETF Trust - USD

Weight
441.6 USD +0.12%+4.02%+17.43%6.84%
214.2 USD +0.55%+10.16%+11.28%5.85%
129.6 USD +3.52%+7.12%+161.72%5.05%
183.6 USD -1.77%-0.76%+20.83%3.78%
175 USD -1.55%-0.96%+25.31%2.27%
504.1 USD -0.93%+2.09%+42.42%2.24%
883.3 USD +1.85%+5.50%+51.54%1.47%
1,679 USD +12.27%+19.82%+50.41%1.35%
193.7 USD +1.11%-1.65%+13.85%1.31%
182.5 USD +2.92%+2.55%-26.57%1.20%
110 USD -0.80%-3.45%+10.06%1.11%
497.3 USD +0.86%-0.92%-5.54%1.06%
271.2 USD +0.32%-2.11%+4.16%1.00%
166.4 USD +0.74%-1.22%+13.56%0.91%
445 USD +0.45%-0.82%+4.34%0.88%
145.4 USD +0.03%-0.66%-7.20%0.82%
347.9 USD +1.09%+5.07%+0.38%0.79%
129.4 USD -0.64%-0.88%+18.67%0.77%
846 USD -0.22%+0.39%+28.16%0.76%
166.6 USD +0.28%-1.19%+7.48%0.68%
152.8 USD -0.89%-1.98%+2.47%0.66%
229 USD -2.87%-5.66%-12.96%0.62%
159.9 USD -0.21%-4.13%+8.47%0.60%
39.26 USD -0.38%-1.11%+16.60%0.60%
66.7 USD +0.59%-0.67%+26.93%0.60%
163.3 USD -0.31%-5.70%-3.83%0.57%
62.99 USD +0.17%-1.81%+6.89%0.57%
653.3 USD +0.49%+0.73%+34.17%0.56%
572.6 USD -0.53%-1.24%+7.88%0.52%
439.8 USD +1.30%+1.37%+7.08%0.51%
458.7 USD -0.25%+0.13%-23.11%0.49%
100.1 USD -0.70%-1.11%+10.85%0.48%
253.7 USD -0.31%-2.69%-14.44%0.47%
45.52 USD -0.22%-1.54%-9.90%0.45%
282.3 USD -1.19%-3.23%-19.55%0.45%
217.8 USD +1.12%+4.00%+50.60%0.44%
103.4 USD -0.89%-0.79%-6.01%0.43%
139.8 USD -0.38%+13.24%+32.65%0.43%
155.7 USD -3.33%-3.07%+21.99%0.42%
594.6 USD +0.41%+3.84%-4.87%0.41%
326.4 USD -0.72%-0.59%+10.38%0.40%
39.78 USD +0.03%-3.75%+5.52%0.39%
237.6 USD -0.04%+7.13%+46.57%0.39%
255 USD -3.63%-4.84%+10.23%0.38%
196.3 USD -1.36%+0.02%+15.15%0.38%
169.1 USD +0.07%+0.55%+3.41%0.36%
37.58 USD -0.66%-3.81%-14.30%0.36%
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ETF Ratings

Description

US78462F1030
Total Expense Ratio 0.09%
Asset Class
Sector
Size
Currency
Provider
Underlying S&P 500 Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
22/01/1993
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 491,658 M€
AuM 1M 465,439 M€
AuM 3 months 467,851 M€
AuM 6 months 402,799 M€
AuM 12 months 373,023 M€
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