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SPDR S&P 500 ETF Trust Holdings

SPY was created on 1993-01-22 by SPDR. The fund's investment portfolio concentrates primarily on large cap equity. The ETF currently has 519009.53m in AUM and 503 holdings. SPY tracks a market cap-weighted index of US large- and mid-cap stocks selected by the S&P Committee.

Last Updated: 3 days, 5 hours ago

Last reported holdings - SPDR S&P 500 ETF Trust

Ticker Name Est. Value
AAPL
APPLE INC $38.5 billion
MSFT
MICROSOFT CORP $35.5 billion
NVDA
NVIDIA CORP $32.5 billion
AMZN
AMAZON.COM INC $21.6 billion
META
META PLATFORMS INC CLASS A $14.7 billion
BRK.B
BERKSHIRE HATHAWAY INC CL B $11.9 billion
GOOGL
ALPHABET INC CL A $11.4 billion
AVGO
BROADCOM INC $11.0 billion
TSLA
TESLA INC $9.8 billion
GOOG
ALPHABET INC CL C $9.4 billion
LLY
ELI LILLY + CO $8.4 billion
JPM
JPMORGAN CHASE + CO $8.3 billion
V
VISA INC CLASS A SHARES $7.1 billion
NFLX
NETFLIX INC $5.8 billion
XOM
EXXON MOBIL CORP $5.8 billion
MA
MASTERCARD INC A $5.3 billion
COST
COSTCO WHOLESALE CORP $5.3 billion
WMT
WALMART INC $5.0 billion
UNH
UNITEDHEALTH GROUP INC $4.7 billion
PG
PROCTER + GAMBLE CO/THE $4.6 billion
JNJ
JOHNSON + JOHNSON $4.6 billion
HD
HOME DEPOT INC $4.3 billion
ABBV
ABBVIE INC $4.1 billion
KO
COCA COLA CO/THE $3.4 billion
BAC
BANK OF AMERICA CORP $3.2 billion
PM
PHILIP MORRIS INTERNATIONAL $3.2 billion
CRM
SALESFORCE INC $3.1 billion
PLTR
PALANTIR TECHNOLOGIES INC A $2.9 billion
CVX
CHEVRON CORP $2.9 billion
WFC
WELLS FARGO + CO $2.8 billion
ORCL
ORACLE CORP $2.8 billion
MCD
MCDONALD S CORP $2.8 billion
CSCO
CISCO SYSTEMS INC $2.8 billion
ABT
ABBOTT LABORATORIES $2.7 billion
IBM
INTL BUSINESS MACHINES CORP $2.7 billion
GE
GENERAL ELECTRIC $2.6 billion
LIN
LINDE PLC $2.6 billion
MRK
MERCK + CO. INC. $2.6 billion
T
AT+T INC $2.4 billion
NOW
SERVICENOW INC $2.4 billion
PEP
PEPSICO INC $2.2 billion
ACN
ACCENTURE PLC CL A $2.2 billion
ISRG
INTUITIVE SURGICAL INC $2.2 billion
VZ
VERIZON COMMUNICATIONS INC $2.2 billion
-
US DOLLAR $2.1 billion
INTU
INTUIT INC $2.1 billion
GS
GOLDMAN SACHS GROUP INC $2.1 billion
RTX
RTX CORP $2.0 billion
UBER
UBER TECHNOLOGIES INC $2.0 billion
QCOM
QUALCOMM INC $2.0 billion
DIS
WALT DISNEY CO/THE $2.0 billion
BKNG
BOOKING HOLDINGS INC $2.0 billion
TMO
THERMO FISHER SCIENTIFIC INC $2.0 billion
ADBE
ADOBE INC $2.0 billion
PGR
PROGRESSIVE CORP $1.9 billion
AMD
ADVANCED MICRO DEVICES $1.9 billion
AMGN
AMGEN INC $1.9 billion
SPGI
S+P GLOBAL INC $1.8 billion
BSX
BOSTON SCIENTIFIC CORP $1.8 billion
TXN
TEXAS INSTRUMENTS INC $1.8 billion
AXP
AMERICAN EXPRESS CO $1.8 billion
CAT
CATERPILLAR INC $1.8 billion
MS
MORGAN STANLEY $1.7 billion
TJX
TJX COMPANIES INC $1.7 billion
BA
BOEING CO/THE $1.7 billion
SCHW
SCHWAB (CHARLES) CORP $1.7 billion
NEE
NEXTERA ENERGY INC $1.7 billion
BLK
BLACKROCK INC $1.6 billion
GILD
GILEAD SCIENCES INC $1.6 billion
PFE
PFIZER INC $1.6 billion
HON
HONEYWELL INTERNATIONAL INC $1.6 billion
UNP
UNION PACIFIC CORP $1.6 billion
C
CITIGROUP INC $1.6 billion
VRTX
VERTEX PHARMACEUTICALS INC $1.6 billion
CMCSA
COMCAST CORP CLASS A $1.6 billion
SYK
STRYKER CORP $1.5 billion
DHR
DANAHER CORP $1.5 billion
LOW
LOWE S COS INC $1.5 billion
AMAT
APPLIED MATERIALS INC $1.5 billion
PANW
PALO ALTO NETWORKS INC $1.5 billion
ADP
AUTOMATIC DATA PROCESSING $1.5 billion
COP
CONOCOPHILLIPS $1.4 billion
DE
DEERE + CO $1.4 billion
ETN
EATON CORP PLC $1.4 billion
TMUS
T MOBILE US INC $1.4 billion
MMC
MARSH + MCLENNAN COS $1.3 billion
MDT
MEDTRONIC PLC $1.3 billion
CB
CHUBB LTD $1.3 billion
CRWD
CROWDSTRIKE HOLDINGS INC A $1.3 billion
GEV
GE VERNOVA INC $1.2 billion
FI
FISERV INC $1.2 billion
LMT
LOCKHEED MARTIN CORP $1.2 billion
SO
SOUTHERN CO/THE $1.2 billion
AMT
AMERICAN TOWER CORP $1.2 billion
MO
ALTRIA GROUP INC $1.2 billion
BMY
BRISTOL MYERS SQUIBB CO $1.2 billion
BX
BLACKSTONE INC $1.2 billion
CME
CME GROUP INC $1.2 billion
ADI
ANALOG DEVICES INC $1.2 billion
ELV
ELEVANCE HEALTH INC $1.2 billion
PLD
PROLOGIS INC $1.2 billion
SBUX
STARBUCKS CORP $1.2 billion
ICE
INTERCONTINENTAL EXCHANGE IN $1.1 billion
DUK
DUKE ENERGY CORP $1.1 billion
KLAC
KLA CORP $1.1 billion
APH
AMPHENOL CORP CL A $1.1 billion
LRCX
LAM RESEARCH CORP $1.1 billion
CI
THE CIGNA GROUP $1.1 billion
WELL
WELLTOWER INC $1.1 billion
INTC
INTEL CORP $1.1 billion
MCK
MCKESSON CORP $1.1 billion
MU
MICRON TECHNOLOGY INC $1.1 billion
MDLZ
MONDELEZ INTERNATIONAL INC A $1.0 billion
WM
WASTE MANAGEMENT INC $1.0 billion
AJG
ARTHUR J GALLAGHER + CO $1.0 billion
EQIX
EQUINIX INC $1.0 billion
CVS
CVS HEALTH CORP $996.9 million
ANET
ARISTA NETWORKS INC $986.8 million
TT
TRANE TECHNOLOGIES PLC $961.5 million
ORLY
O REILLY AUTOMOTIVE INC $961.0 million
CDNS
CADENCE DESIGN SYS INC $956.8 million
TDG
TRANSDIGM GROUP INC $955.2 million
SHW
SHERWIN WILLIAMS CO/THE $939.8 million
KKR
KKR + CO INC $938.2 million
PH
PARKER HANNIFIN CORP $937.3 million
MMM
3M CO $913.7 million
AON
AON PLC CLASS A $906.9 million
CL
COLGATE PALMOLIVE CO $900.7 million
WMB
WILLIAMS COS INC $887.6 million
MSI
MOTOROLA SOLUTIONS INC $879.4 million
CTAS
CINTAS CORP $871.1 million
UPS
UNITED PARCEL SERVICE CL B $867.0 million
CEG
CONSTELLATION ENERGY $858.1 million
COF
CAPITAL ONE FINANCIAL CORP $852.3 million
GD
GENERAL DYNAMICS CORP $842.0 million
CMG
CHIPOTLE MEXICAN GRILL INC $841.8 million
ZTS
ZOETIS INC $839.1 million
SNPS
SYNOPSYS INC $837.4 million
MCO
MOODY S CORP $830.7 million
NKE
NIKE INC CL B $826.1 million
NOC
NORTHROP GRUMMAN CORP $802.5 million
FTNT
FORTINET INC $797.2 million
REGN
REGENERON PHARMACEUTICALS $785.1 million
EOG
EOG RESOURCES INC $783.8 million
PYPL
PAYPAL HOLDINGS INC $783.8 million
ITW
ILLINOIS TOOL WORKS $782.6 million
DASH
DOORDASH INC A $777.8 million
PNC
PNC FINANCIAL SERVICES GROUP $771.3 million
USB
US BANCORP $764.4 million
NEM
NEWMONT CORP $751.6 million
APO
APOLLO GLOBAL MANAGEMENT INC $744.2 million
AZO
AUTOZONE INC $741.0 million
ECL
ECOLAB INC $735.5 million
APD
AIR PRODUCTS + CHEMICALS INC $731.2 million
HCA
HCA HEALTHCARE INC $724.4 million
TRV
TRAVELERS COS INC/THE $723.8 million
ROP
ROPER TECHNOLOGIES INC $722.6 million
EMR
EMERSON ELECTRIC CO $719.1 million
BDX
BECTON DICKINSON AND CO $717.0 million
ADSK
AUTODESK INC $712.6 million
AEP
AMERICAN ELECTRIC POWER $696.1 million
BK
BANK OF NEW YORK MELLON CORP $691.0 million
HWM
HOWMET AEROSPACE INC $673.9 million
OKE
ONEOK INC $665.7 million
MAR
MARRIOTT INTERNATIONAL CL A $661.6 million
CSX
CSX CORP $656.2 million
AFL
AFLAC INC $655.2 million
JCI
JOHNSON CONTROLS INTERNATION $653.3 million
RCL
ROYAL CARIBBEAN CRUISES LTD $653.3 million
FCX
FREEPORT MCMORAN INC $652.9 million
ABNB
AIRBNB INC CLASS A $651.7 million
HLT
HILTON WORLDWIDE HOLDINGS IN $650.6 million
CPRT
COPART INC $640.2 million
KMI
KINDER MORGAN INC $638.8 million
ALL
ALLSTATE CORP $631.8 million
WDAY
WORKDAY INC CLASS A $626.2 million
DLR
DIGITAL REALTY TRUST INC $619.1 million
TFC
TRUIST FINANCIAL CORP $615.6 million
NSC
NORFOLK SOUTHERN CORP $612.5 million
O
REALTY INCOME CORP $610.7 million
RSG
REPUBLIC SERVICES INC $609.6 million
NXPI
NXP SEMICONDUCTORS NV $608.9 million
COR
CENCORA INC $606.0 million
CARR
CARRIER GLOBAL CORP $596.1 million
AIG
AMERICAN INTERNATIONAL GROUP $593.2 million
SPG
SIMON PROPERTY GROUP INC $592.7 million
PCAR
PACCAR INC $588.7 million
SRE
SEMPRA $584.1 million
SLB
SCHLUMBERGER LTD $582.9 million
FICO
FAIR ISAAC CORP $577.7 million
GM
GENERAL MOTORS CO $573.5 million
KR
KROGER CO $571.9 million
FDX
FEDEX CORP $571.9 million
EXC
EXELON CORP $570.7 million
DFS
DISCOVER FINANCIAL SERVICES $568.6 million
PAYX
PAYCHEX INC $563.8 million
PSA
PUBLIC STORAGE $562.1 million
ROST
ROSS STORES INC $561.1 million
FAST
FASTENAL CO $560.3 million
D
DOMINION ENERGY INC $551.2 million
AMP
AMERIPRISE FINANCIAL INC $549.8 million
GWW
WW GRAINGER INC $547.3 million
EW
EDWARDS LIFESCIENCES CORP $544.0 million
KVUE
KENVUE INC $541.0 million
TGT
TARGET CORP $538.8 million
VST
VISTRA CORP $538.4 million
MET
METLIFE INC $536.5 million
CCI
CROWN CASTLE INC $535.5 million
PSX
PHILLIPS 66 $533.4 million
AXON
AXON ENTERPRISE INC $532.9 million
MPC
MARATHON PETROLEUM CORP $530.5 million
KMB
KIMBERLY CLARK CORP $529.8 million
TEL
TE CONNECTIVITY PLC $527.5 million
PWR
QUANTA SERVICES INC $522.9 million
CTVA
CORTEVA INC $515.0 million
MSCI
MSCI INC $506.9 million
FIS
FIDELITY NATIONAL INFO SERV $504.0 million
YUM
YUM BRANDS INC $503.4 million
LHX
L3HARRIS TECHNOLOGIES INC $502.7 million
URI
UNITED RENTALS INC $501.4 million
MNST
MONSTER BEVERAGE CORP $500.1 million
VRSK
VERISK ANALYTICS INC $497.2 million
KDP
KEURIG DR PEPPER INC $497.1 million
CMI
CUMMINS INC $492.8 million
PEG
PUBLIC SERVICE ENTERPRISE GP $492.1 million
XEL
XCEL ENERGY INC $487.8 million
TRGP
TARGA RESOURCES CORP $477.2 million
F
FORD MOTOR CO $475.9 million
ED
CONSOLIDATED EDISON INC $470.4 million
AME
AMETEK INC $469.6 million
PCG
P G + E CORP $461.2 million
OTIS
OTIS WORLDWIDE CORP $453.1 million
HES
HESS CORP $451.7 million
TTWO
TAKE TWO INTERACTIVE SOFTWRE $450.0 million
PRU
PRUDENTIAL FINANCIAL INC $447.6 million
ETR
ENTERGY CORP $445.3 million
CHTR
CHARTER COMMUNICATIONS INC A $444.9 million
VLO
VALERO ENERGY CORP $443.5 million
CTSH
COGNIZANT TECH SOLUTIONS A $438.1 million
CBRE
CBRE GROUP INC A $437.7 million
BKR
BAKER HUGHES CO $437.5 million
IDXX
IDEXX LABORATORIES INC $433.9 million
DHI
DR HORTON INC $433.2 million
EA
ELECTRONIC ARTS INC $424.6 million
HIG
HARTFORD INSURANCE GROUP INC $422.6 million
SYY
SYSCO CORP $420.4 million
CSGP
COSTAR GROUP INC $420.3 million
RMD
RESMED INC $419.6 million
WEC
WEC ENERGY GROUP INC $419.2 million
ACGL
ARCH CAPITAL GROUP LTD $417.2 million
VICI
VICI PROPERTIES INC $414.9 million
GLW
CORNING INC $414.9 million
CAH
CARDINAL HEALTH INC $408.5 million
VMC
VULCAN MATERIALS CO $395.7 million
IT
GARTNER INC $391.1 million
EFX
EQUIFAX INC $388.2 million
EBAY
EBAY INC $387.9 million
HUM
HUMANA INC $386.9 million
WAB
WABTEC CORP $382.0 million
GEHC
GE HEALTHCARE TECHNOLOGY $379.7 million
NDAQ
NASDAQ INC $379.4 million
GRMN
GARMIN LTD $376.3 million
MLM
MARTIN MARIETTA MATERIALS $375.3 million
GIS
GENERAL MILLS INC $375.0 million
A
AGILENT TECHNOLOGIES INC $372.0 million
EQT
EQT CORP $371.6 million
WTW
WILLIS TOWERS WATSON PLC $369.2 million
IR
INGERSOLL RAND INC $368.1 million
EXR
EXTRA SPACE STORAGE INC $367.3 million
LULU
LULULEMON ATHLETICA INC $367.1 million
VTR
VENTAS INC $365.4 million
AVB
AVALONBAY COMMUNITIES INC $360.4 million
CNC
CENTENE CORP $359.9 million
DELL
DELL TECHNOLOGIES C $359.6 million
STZ
CONSTELLATION BRANDS INC A $350.3 million
XYL
XYLEM INC $343.8 million
AWK
AMERICAN WATER WORKS CO INC $343.3 million
DTE
DTE ENERGY COMPANY $343.1 million
ODFL
OLD DOMINION FREIGHT LINE $341.9 million
MTB
M + T BANK CORP $341.8 million
MPWR
MONOLITHIC POWER SYSTEMS INC $341.5 million
ROK
ROCKWELL AUTOMATION INC $339.8 million
ANSS
ANSYS INC $339.5 million
DXCM
DEXCOM INC $339.4 million
BR
BROADRIDGE FINANCIAL SOLUTIO $338.8 million
DD
DUPONT DE NEMOURS INC $334.5 million
NUE
NUCOR CORP $334.2 million
OXY
OCCIDENTAL PETROLEUM CORP $333.8 million
BRO
BROWN + BROWN INC $332.9 million
PPL
PPL CORP $328.5 million
DAL
DELTA AIR LINES INC $328.4 million
AEE
AMEREN CORPORATION $325.7 million
TSCO
TRACTOR SUPPLY COMPANY $319.6 million
GDDY
GODADDY INC CLASS A $317.2 million
IRM
IRON MOUNTAIN INC $317.0 million
FANG
DIAMONDBACK ENERGY INC $314.4 million
TPL
TEXAS PACIFIC LAND CORP $310.6 million
STT
STATE STREET CORP $308.2 million
MCHP
MICROCHIP TECHNOLOGY INC $308.2 million
LEN
LENNAR CORP A $308.2 million
ATO
ATMOS ENERGY CORP $307.4 million
RJF
RAYMOND JAMES FINANCIAL INC $307.3 million
KHC
KRAFT HEINZ CO/THE $306.7 million
IQV
IQVIA HOLDINGS INC $306.5 million
IP
INTERNATIONAL PAPER CO $304.3 million
CNP
CENTERPOINT ENERGY INC $304.3 million
KEYS
KEYSIGHT TECHNOLOGIES IN $303.7 million
CHD
CHURCH + DWIGHT CO INC $294.9 million
HSY
HERSHEY CO/THE $294.1 million
FITB
FIFTH THIRD BANCORP $292.6 million
SBAC
SBA COMMUNICATIONS CORP $292.4 million
PPG
PPG INDUSTRIES INC $291.6 million
HPQ
HP INC $290.5 million
EQR
EQUITY RESIDENTIAL $288.2 million
DRI
DARDEN RESTAURANTS INC $287.4 million
FTV
FORTIVE CORP $286.5 million
DOV
DOVER CORP $285.3 million
ADM
ARCHER DANIELS MIDLAND CO $280.5 million
VLTO
VERALTO CORP $278.0 million
UAL
UNITED AIRLINES HOLDINGS INC $276.4 million
EIX
EDISON INTERNATIONAL $275.8 million
EXE
EXPAND ENERGY CORP $274.8 million
VRSN
VERISIGN INC $274.2 million
TYL
TYLER TECHNOLOGIES INC $272.4 million
MTD
METTLER TOLEDO INTERNATIONAL $271.0 million
K
KELLANOVA $270.7 million
CBOE
CBOE GLOBAL MARKETS INC $270.5 million
NRG
NRG ENERGY INC $270.5 million
STE
STERIS PLC $270.1 million
CPAY
CORPAY INC $269.3 million
FE
FIRSTENERGY CORP $266.8 million
CMS
CMS ENERGY CORP $264.5 million
ES
EVERSOURCE ENERGY $264.4 million
HPE
HEWLETT PACKARD ENTERPRISE $264.3 million
TDY
TELEDYNE TECHNOLOGIES INC $263.4 million
WRB
WR BERKLEY CORP $260.1 million
CINF
CINCINNATI FINANCIAL CORP $258.6 million
HBAN
HUNTINGTON BANCSHARES INC $258.6 million
CDW
CDW CORP/DE $258.0 million
SWR.L
SMURFIT WESTROCK PLC $257.0 million
NVR
NVR INC $256.7 million
DOW
DOW INC $256.0 million
LYV
LIVE NATION ENTERTAINMENT IN $255.4 million
DVN
DEVON ENERGY CORP $253.0 million
PHM
PULTEGROUP INC $253.0 million
SYF
SYNCHRONY FINANCIAL $248.0 million
DG
DOLLAR GENERAL CORP $247.4 million
ZBH
ZIMMER BIOMET HOLDINGS INC $247.3 million
WAT
WATERS CORP $246.4 million
EXPE
EXPEDIA GROUP INC $241.8 million
TROW
T ROWE PRICE GROUP INC $240.7 million
DGX
QUEST DIAGNOSTICS INC $239.3 million
CCL
CARNIVAL CORP $239.2 million
IFF
INTL FLAVORS + FRAGRANCES $238.1 million
WBD
WARNER BROS DISCOVERY INC $237.1 million
INVH
INVITATION HOMES INC $236.6 million
HUBB
HUBBELL INC $234.6 million
LH
LABCORP HOLDINGS INC $234.5 million
LDOS
LEIDOS HOLDINGS INC $233.3 million
CTRA
COTERRA ENERGY INC $231.3 million
MKC
MCCORMICK + CO NON VTG SHRS $229.3 million
SMCI
SUPER MICRO COMPUTER INC $229.2 million
WSM
WILLIAMS SONOMA INC $229.1 million
MAA
MID AMERICA APARTMENT COMM $228.2 million
RF
REGIONS FINANCIAL CORP $227.0 million
WY
WEYERHAEUSER CO $226.8 million
NI
NISOURCE INC $226.4 million
GPN
GLOBAL PAYMENTS INC $224.5 million
PTC
PTC INC $222.7 million
PODD
INSULET CORP $221.6 million
NTRS
NORTHERN TRUST CORP $221.2 million
STLD
STEEL DYNAMICS INC $221.2 million
HAL
HALLIBURTON CO $218.7 million
ULTA
ULTA BEAUTY INC $218.7 million
NTAP
NETAPP INC $218.3 million
ESS
ESSEX PROPERTY TRUST INC $218.1 million
MOH
MOLINA HEALTHCARE INC $216.8 million
BIIB
BIOGEN INC $211.9 million
STX
SEAGATE TECHNOLOGY HOLDINGS $211.6 million
CLX
CLOROX COMPANY $209.7 million
TSN
TYSON FOODS INC CL A $209.0 million
LII
LENNOX INTERNATIONAL INC $207.9 million
DPZ
DOMINO S PIZZA INC $206.9 million
ON
ON SEMICONDUCTOR $205.9 million
PKG
PACKAGING CORP OF AMERICA $202.9 million
DECK
DECKERS OUTDOOR CORP $202.5 million
GPC
GENUINE PARTS CO $199.5 million
CFG
CITIZENS FINANCIAL GROUP $199.2 million
SNA
SNAP ON INC $198.6 million
COO
COOPER COS INC/THE $198.4 million
DLTR
DOLLAR TREE INC $198.2 million
FDS
FACTSET RESEARCH SYSTEMS INC $196.1 million
JBL
JABIL INC $195.6 million
EVRG
EVERGY INC $193.1 million
LUV
SOUTHWEST AIRLINES CO $192.7 million
ROL
ROLLINS INC $192.6 million
LNT
ALLIANT ENERGY CORP $191.2 million
WST
WEST PHARMACEUTICAL SERVICES $191.1 million
BAX
BAXTER INTERNATIONAL INC $190.7 million
PFG
PRINCIPAL FINANCIAL GROUP $189.8 million
FFIV
F5 INC $186.5 million
EG
EVEREST GROUP LTD $186.3 million
LYB
LYONDELLBASELL INDU CL A $186.3 million
EXPD
EXPEDITORS INTL WASH INC $185.7 million
L
LOEWS CORP $185.3 million
BALL
BALL CORP $184.1 million
FSLR
FIRST SOLAR INC $183.9 million
J
JACOBS SOLUTIONS INC $183.0 million
TRMB
TRIMBLE INC $182.7 million
PNR
PENTAIR PLC $181.5 million
KEY
KEYCORP $180.0 million
OMC
OMNICOM GROUP $179.7 million
TPR
TAPESTRY INC $175.0 million
WDC
WESTERN DIGITAL CORP $172.7 million
BLDR
BUILDERS FIRSTSOURCE INC $170.7 million
AMCR
AMCOR PLC $170.4 million
CF
CF INDUSTRIES HOLDINGS INC $169.2 million
GEN
GEN DIGITAL INC $169.2 million
EL
ESTEE LAUDER COMPANIES CL A $168.6 million
KIM
KIMCO REALTY CORP $168.0 million
AVY
AVERY DENNISON CORP $167.0 million
BBY
BEST BUY CO INC $161.0 million
IEX
IDEX CORP $160.4 million
HOLX
HOLOGIC INC $159.0 million
APTV
APTIV PLC $157.6 million
MAS
MASCO CORP $156.4 million
ALGN
ALIGN TECHNOLOGY INC $154.6 million
TXT
TEXTRON INC $154.6 million
ZBRA
ZEBRA TECHNOLOGIES CORP CL A $152.9 million
UDR
UDR INC $152.8 million
TER
TERADYNE INC $152.8 million
JKHY
JACK HENRY + ASSOCIATES INC $151.7 million
DOC
HEALTHPEAK PROPERTIES INC $151.6 million
LVS
LAS VEGAS SANDS CORP $151.1 million
CPT
CAMDEN PROPERTY TRUST $149.1 million
SJM
JM SMUCKER CO/THE $148.5 million
AKAM
AKAMAI TECHNOLOGIES INC $147.1 million
ALLE
ALLEGION PLC $145.7 million
ARE
ALEXANDRIA REAL ESTATE EQUIT $144.7 million
JNPR
JUNIPER NETWORKS INC $144.2 million
REG
REGENCY CENTERS CORP $143.6 million
RVTY
REVVITY INC $141.3 million
CAG
CONAGRA BRANDS INC $140.3 million
POOL
POOL CORP $135.4 million
FOXA
FOX CORP CLASS A $131.6 million
PNW
PINNACLE WEST CAPITAL $131.5 million
BG
BUNGE GLOBAL SA $131.4 million
TKO
TKO GROUP HOLDINGS INC $130.4 million
PAYC
PAYCOM SOFTWARE INC $130.1 million
CHRW
C.H. ROBINSON WORLDWIDE INC $127.9 million
JBHT
HUNT (JB) TRANSPRT SVCS INC $127.4 million
GL
GLOBE LIFE INC $126.7 million
NDSN
NORDSON CORP $125.2 million
NWSA
NEWS CORP CLASS A $124.6 million
UHS
UNIVERSAL HEALTH SERVICES B $123.9 million
KMX
CARMAX INC $123.2 million
SWKS
SKYWORKS SOLUTIONS INC $121.4 million
VTRS
VIATRIS INC $120.5 million
AIZ
ASSURANT INC $120.4 million
HST
HOST HOTELS + RESORTS INC $119.3 million
TAP
MOLSON COORS BEVERAGE CO B $119.1 million
LKQ
LKQ CORP $118.1 million
BXP
BXP INC $117.8 million
INCY
INCYTE CORP $116.4 million
SWK
STANLEY BLACK + DECKER INC $115.5 million
MOS
MOSAIC CO/THE $113.9 million
MRNA
MODERNA INC $113.7 million
IPG
INTERPUBLIC GROUP OF COS INC $112.9 million
SOLV
SOLVENTUM CORP $111.7 million
DAY
DAYFORCE INC $110.3 million
EPAM
EPAM SYSTEMS INC $110.0 million
HII
HUNTINGTON INGALLS INDUSTRIE $109.6 million
RL
RALPH LAUREN CORP $108.9 million
EMN
EASTMAN CHEMICAL CO $107.1 million
ERIE
ERIE INDEMNITY COMPANY CL A $106.1 million
HRL
HORMEL FOODS CORP $105.0 million
MKTX
MARKETAXESS HOLDINGS INC $101.0 million
HSIC
HENRY SCHEIN INC $99.8 million
HAS
HASBRO INC $98.4 million
TECH
BIO TECHNE CORP $96.9 million
WBA
WALGREENS BOOTS ALLIANCE INC $96.2 million
AOS
SMITH (A.O.) CORP $94.2 million
NCLH
NORWEGIAN CRUISE LINE HOLDIN $93.9 million
MTCH
MATCH GROUP INC $92.5 million
LW
LAMB WESTON HOLDINGS INC $90.1 million
WYNN
WYNN RESORTS LTD $89.8 million
MGM
MGM RESORTS INTERNATIONAL $89.0 million
AES
AES CORP $88.7 million
FRT
FEDERAL REALTY INVS TRUST $87.9 million
CPB
THE CAMPBELL S COMPANY $86.0 million
PARA
PARAMOUNT GLOBAL CLASS B $85.1 million
ALB
ALBEMARLE CORP $84.2 million
GNRC
GENERAC HOLDINGS INC $82.4 million
IVZ
INVESCO LTD $76.8 million
BF.B
BROWN FORMAN CORP CLASS B $75.8 million
DVA
DAVITA INC $75.4 million
ENPH
ENPHASE ENERGY INC $75.1 million
APA
APA CORP $74.9 million
FOX
FOX CORP CLASS B $74.1 million
CZR
CAESARS ENTERTAINMENT INC $72.8 million
CRL
CHARLES RIVER LABORATORIES $71.9 million
BEN
FRANKLIN RESOURCES INC $70.7 million
MHK
MOHAWK INDUSTRIES INC $68.5 million
NWS
NEWS CORP CLASS B $42.9 million

Recent Changes - SPDR S&P 500 ETF Trust

Date Ticker Name Change (Shares)
2025-04-28
-
US DOLLAR 2.1 billion
2025-04-25
-
US DOLLAR 2.1 billion
2025-04-24
-
US DOLLAR 2.1 billion
2025-04-23
-
US DOLLAR 2.1 billion
2025-04-22
-
US DOLLAR 2.1 billion
2025-04-21
-
US DOLLAR 2.1 billion
2025-04-17
-
US DOLLAR -2.0 billion
2025-04-16
-
US DOLLAR 2.0 billion
2025-04-15
-
US DOLLAR 2.0 billion
2025-04-14
-
US DOLLAR 2.0 billion
2025-04-11
-
US DOLLAR 2.0 billion
2025-04-10
-
US DOLLAR 2.0 billion
2025-04-09
-
US DOLLAR 1.9 billion
2025-04-08
-
US DOLLAR 1.9 billion
2025-04-07
-
US DOLLAR 1.9 billion
2025-04-04
-
US DOLLAR 1.9 billion
2025-04-03
-
US DOLLAR 1.9 billion
2025-04-02
-
US DOLLAR 1.9 billion
2025-04-01
-
US DOLLAR 1.9 billion
2025-03-31
-
US DOLLAR 1.8 billion
2025-03-28
-
US DOLLAR 1.8 billion
2025-03-27
-
US DOLLAR 1.6 billion
2025-03-26
-
US DOLLAR 1.5 billion
2025-03-25
-
US DOLLAR 1.5 billion
2025-03-24
FMC
FMC Corp -1.5 million
2025-03-24
CE
Celanese Corp Class A -1.3 million
2025-03-24
WSM
WILLIAMS SONOMA INC 1.5 million
2025-03-24
DASH
DOORDASH INC A 4.1 million
2025-03-24
BWA
BorgWarner Inc -2.7 million
2025-03-24
TFX
Teleflex Inc -565,333
2025-03-24
TKO
TKO GROUP HOLDINGS INC 809,047
2025-03-24
EXE
EXPAND ENERGY CORP 2.6 million
2025-03-24
-
US DOLLAR 1.4 billion
2025-03-21
BWA
BorgWarner Inc -2.7 million
2025-03-21
DASH
DOORDASH INC A 4.1 million
2025-03-21
TKO
TKO GROUP HOLDINGS INC 811,270
2025-03-21
FMC
FMC Corp -1.5 million
2025-03-21
-
US DOLLAR 1.4 billion
2025-03-21
CE
Celanese Corp Class A -1.3 million
2025-03-21
EXE
EXPAND ENERGY CORP 2.6 million
2025-03-21
WSM
WILLIAMS SONOMA INC 1.5 million
2025-03-21
TFX
Teleflex Inc -566,467
2025-03-20
-
US DOLLAR 1.4 billion
2025-03-19
-
US DOLLAR 1.4 billion
2025-03-18
-
US DOLLAR 1.4 billion
2025-03-17
-
US DOLLAR 1.4 billion
2025-03-14
ANET
ARISTA NETWORKS INC -13.0 million
2025-03-14
-
US DOLLAR -1.3 billion
2025-03-14
ANET
Arista Networks Inc 13.0 million
2025-03-13
-
US DOLLAR 1.3 billion
2025-03-12
-
US DOLLAR 1.3 billion
2025-03-11
-
US DOLLAR -1.2 billion
2025-03-10
-
US DOLLAR 1.2 billion
2025-03-07
-
US DOLLAR 1.1 billion
2025-03-06
-
US DOLLAR 999.0 million
2025-03-05
-
US DOLLAR -910.8 million
2025-02-28
-
US DOLLAR 846.3 million
2025-02-27
-
US DOLLAR 890.3 million
2025-02-26
-
US DOLLAR 862.0 million
2025-02-25
SNDK
Sandisk -1.4 million
2025-02-24
-
US DOLLAR 841.4 million
2025-02-21
-
US DOLLAR 763.1 million
2025-02-20
-
US DOLLAR 755.8 million
2025-02-19
-
US DOLLAR 740.6 million
2025-02-18
-
US DOLLAR 728.2 million
2025-02-13
-
US DOLLAR 671.2 million
2025-02-12
-
US DOLLAR 567.8 million
2025-02-11
-
US DOLLAR 787.6 million
2025-02-10
MRP
Millrose Properties Inc Class A -1.5 million
2025-02-10
-
US DOLLAR 517.0 million
2025-01-21
-
US DOLLAR 2.3 billion
2025-01-21
MRP-W
MILLROSE PROPERTIES CL A W/I 1.5 million
2025-01-16
-
US DOLLAR 2.3 billion
2025-01-15
-
US DOLLAR 2.3 billion
2025-01-14
-
US DOLLAR 2.2 billion
2025-01-13
-
US DOLLAR 2.2 billion
2025-01-10
-
US DOLLAR 2.2 billion
2025-01-08
-
US DOLLAR 2.1 billion
2025-01-07
-
US DOLLAR 2.1 billion
2025-01-06
-
US DOLLAR 2.0 billion
2025-01-03
-
US DOLLAR 2.0 billion
2025-01-02
-
US DOLLAR 2.0 billion
2024-12-31
-
US DOLLAR 2.0 billion
2024-12-30
-
US DOLLAR -1.9 billion
2024-12-27
-
US DOLLAR 1.9 billion
2024-12-26
-
US DOLLAR 1.9 billion
2024-12-24
-
US DOLLAR -1.9 billion
2024-12-23
WDAY
Workday Inc Class A 2.7 million
2024-12-23
APO
Apollo Global Management Inc Class A 5.6 million
2024-12-23
AMTM
Amentum Holdings Inc -1.5 million
2024-12-23
LII
Lennox International Inc 402,925
2024-12-23
QRVO
Qorvo Inc -1.2 million
2024-12-19
-
US DOLLAR 1.7 billion
2024-12-18
-
US DOLLAR 1.7 billion
2024-12-18
CTLT
Catalent Inc -2.3 million
2024-12-17
APTV
Aptiv PLC -3.4 million
2024-12-17
2534252D
APTIV HOLDINGS LTD 3.4 million
2024-12-17
-
US DOLLAR 1.7 billion
2024-12-17
CTLT
Catalent Inc -2.3 million
2024-12-16
-
US DOLLAR -1.6 billion
2024-10-21
-
US DOLLAR 2.0 billion
2024-10-18
-
US DOLLAR 2.0 billion
2024-10-17
-
US DOLLAR 2.0 billion
2024-10-16
-
US DOLLAR 1.9 billion
2024-10-15
-
US DOLLAR 1.9 billion
2024-10-14
-
US DOLLAR 1.9 billion
2024-10-11
-
US DOLLAR 1.9 billion
2024-10-10
-
US DOLLAR 1.8 billion
2024-10-09
-
US DOLLAR 1.8 billion
2024-10-08
-
US DOLLAR 1.8 billion
2024-10-07
-
US DOLLAR 1.8 billion
2024-10-04
-
US DOLLAR 1.8 billion
2024-10-03
LRCX
Lam Research Corp -1.6 million
2024-10-03
LRCX
Lam Research Corp 15.8 million
2024-10-02
LRCX
LAM RESEARCH CORP -1.6 million
2024-10-01
BLK
BlackRock Inc -1.7 million
2024-10-01
2481632D
BLACKROCK FUNDING INC/DE 1.7 million
2024-10-01
TEL
TE CONNECTIVITY PLC 3.7 million
2024-10-01
-
US DOLLAR 1.7 billion
2024-10-01
BBWI
Bath & Body Works Inc -2.7 million
2024-09-30
TEL
TE Connectivity Ltd -3.7 million
2024-09-30
BBWI
Bath & Body Works Inc -2.7 million
2024-09-30
TEL
TE CONNECTIVITY PLC 3.7 million
2024-09-30
AMTM
AMENTUM HOLDINGS INC 1.5 million
2024-09-30
-
US DOLLAR 1.7 billion
2024-09-27
-
US DOLLAR 1.6 billion
2024-09-27
TEL
TE CONNECTIVITY PLC 3.7 million
2024-09-27
TEL
TE Connectivity Ltd -3.7 million
2024-09-26
-
US DOLLAR 1.5 billion
2024-09-24
-
US DOLLAR 1.4 billion
2024-09-23
-
US DOLLAR 1.4 billion
2024-09-20
ERIE
ERIE INDEMNITY COMPANY CL A 295,190
2024-09-20
BIO
Bio-Rad Laboratories Inc Class A -245,135
2024-09-20
AAL
American Airlines Group Inc -7.7 million
2024-09-20
PLTR
PALANTIR TECHNOLOGIES INC A 23.8 million
2024-09-20
-
US DOLLAR 1.4 billion
2024-09-20
DELL
DELL TECHNOLOGIES C 3.4 million
2024-09-20
ETSY
Etsy Inc -1.4 million
2024-09-19
-
US DOLLAR 1.4 billion
2024-09-18
-
US DOLLAR 1.4 billion
2024-09-17
-
US DOLLAR 1.4 billion
2024-09-16
-
US DOLLAR 1.4 billion
2024-09-13
-
US DOLLAR 1.3 billion
2024-09-12
-
US DOLLAR 1.3 billion
2024-09-11
-
US DOLLAR 723.2 million
2024-09-10
-
US DOLLAR -1.1 billion
2024-09-09
-
US DOLLAR 1.1 billion
2024-09-06
-
US DOLLAR 933.5 million
2024-09-05
-
US DOLLAR 941.0 million
2024-09-04
-
US DOLLAR -865.0 million
2024-09-03
-
US DOLLAR 865.0 million
2024-08-30
-
US DOLLAR -727.7 million
2024-08-29
-
US DOLLAR 727.7 million
2024-08-28
-
US DOLLAR 734.0 million
2024-08-27
-
US DOLLAR 714.0 million
2024-08-26
SK3.IR
Smurfit WestRock PLC 6.0 million
2024-08-26
-
US DOLLAR -713.7 million
2024-08-26
SW
SMURFIT WESTROCK PLC -6.0 million
2024-08-23
SK3.IR
Smurfit WestRock PLC -6.0 million
2024-08-23
SW
SMURFIT WESTROCK PLC 6.0 million
2024-08-23
-
US DOLLAR 713.7 million
2024-08-22
-
US DOLLAR 718.9 million
2024-08-22
SW
SMURFIT WESTROCK PLC 6.0 million
2024-08-22
SK3.IR
Smurfit WestRock PLC -6.0 million
2024-08-21
SK3.IR
Smurfit WestRock PLC 6.0 million
2024-08-21
-
US DOLLAR -680.9 million
2024-08-21
SW
SMURFIT WESTROCK PLC -6.0 million
2024-08-20
-
US DOLLAR 680.9 million
2024-08-20
SW
SMURFIT WESTROCK PLC 6.0 million
2024-08-20
SK3.IR
Smurfit WestRock PLC -6.0 million
2024-08-19
SW
SMURFIT WESTROCK PLC 6.0 million
2024-08-19
-
US DOLLAR 675.2 million
2024-08-19
SK3.IR
Smurfit WestRock PLC -6.1 million
2024-08-14
SK3.IR
Smurfit WestRock PLC -6.1 million
2024-08-14
SW
SMURFIT WESTROCK PLC 6.0 million
2024-08-14
-
US DOLLAR 655.1 million
2024-08-13
SW
SMURFIT WESTROCK PLC 6.0 million
2024-08-13
-
US DOLLAR 485.2 million
2024-08-13
SK3.IR
Smurfit WestRock PLC -6.1 million
2024-08-12
SK3.IR
Smurfit WestRock PLC -6.1 million
2024-08-12
-
US DOLLAR 476.2 million
2024-08-12
SW
SMURFIT WESTROCK PLC 6.1 million
2024-08-09
-
US DOLLAR 421.9 million
2024-08-09
SK3.IR
Smurfit WestRock PLC -6.1 million
2024-08-09
SW
SMURFIT WESTROCK PLC 6.1 million
2024-08-08
-
US DOLLAR 456.9 million
2024-08-08
SW
SMURFIT WESTROCK PLC 6.1 million
2024-08-08
SK3.IR
Smurfit WestRock PLC -6.1 million
2024-08-07
SK3.IR
Smurfit WestRock PLC -6.1 million
2024-08-07
SW
SMURFIT WESTROCK PLC 6.1 million
2024-08-07
-
US DOLLAR 483.5 million
2024-08-06
-
US DOLLAR 465.0 million
2024-08-06
SK3.IR
Smurfit WestRock PLC -6.1 million
2024-08-06
SW
SMURFIT WESTROCK PLC 6.1 million
2024-08-02
SW
SMURFIT WESTROCK PLC 6.1 million
2024-08-02
-
US DOLLAR 468.1 million
2024-08-02
SK3.IR
Smurfit WestRock PLC -6.1 million
2024-08-01
SK3.IR
Smurfit WestRock PLC 6.1 million
2024-08-01
SW
SMURFIT WESTROCK PLC -6.0 million
2024-08-01
-
US DOLLAR -445.4 million