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ETFOpen-end / ETF

SPYV ETF analysis

State Street(R) SPDR(R) Portfolio S&P 500(R) Value ETF

SPDR SERIES TRUST

$63.86
+0.74% latest session
Close · Sep 3, 2026
Net assets
$35,300,091,046
Total assets
$35,398,642,970
Holdings
442
Top 10 weight
23.81%
52-week high
$64.26
52-week low
$53.94
Avg volume · 30 sessions
1,842,416
Report date
Jun 30, 2026

Market performance

Adjusted-close total-return series · up to five years

History since Sep 2021
1 week
+0.60%
1 month
+1.62%
6 months
+13.53%
Month to date
+0.81%
Year to date
+13.33%

Fund details

Sponsor / registrant
SPDR SERIES TRUST
Structure
Open-end / ETF
SEC series
S000006985
Expense ratio
Not available from the current SEC holdings dataset
Benchmark
Not available from the current SEC holdings dataset
Holdings coverage
Full reported portfolio
Open SEC fund profile

More for this listing

Asset allocation

EC99.83%
STIV0.37%
DE0.00%

Country allocation

US95.35%
IE3.37%
CH0.61%
NL0.29%
CW0.24%
BM0.22%
JE0.11%

Portfolio holdings

Latest SEC Form NPORT-P report, largest position first.

Export CSV
HoldingValueWeight
Apple Inc$2,584,442,2787.32%
Amazon.com Inc$1,333,652,9213.78%
Intel Corp$802,290,2432.27%
Exxon Mobil Corp$689,208,8011.95%
Walmart Inc$603,877,2901.71%
Tesla Inc$547,226,6771.55%
Costco Wholesale Corp$504,752,4831.43%
UnitedHealth Group Inc$459,033,8251.30%
Bank of America Corp$452,425,7581.28%
Home Depot Inc/The$427,198,8151.21%
Procter & Gamble Co/The$415,270,5491.18%
Merck & Co Inc$385,962,7291.09%
Chevron Corp$377,388,9411.07%
JPMorgan Chase & Co$341,325,3210.97%
Texas Instruments Inc$329,894,9340.93%
Visa Inc$311,613,8940.88%
Wells Fargo & Co$307,545,8340.87%
Johnson & Johnson$304,935,1760.86%
AbbVie Inc$292,063,7010.83%
Linde PLC$291,889,7390.83%
Citigroup Inc$290,299,1540.82%
Western Digital Corp$267,729,0690.76%
Cisco Systems Inc$265,274,1310.75%
QUALCOMM Inc$236,860,6810.67%
Analog Devices Inc$235,880,8520.67%
General Electric Co$227,696,1240.65%
Thermo Fisher Scientific Inc$226,657,8370.64%
PepsiCo Inc$225,128,2260.64%
NextEra Energy Inc$222,661,2550.63%
Coca-Cola Co/The$222,045,5690.63%
Verizon Communications Inc$215,072,8040.61%
Walt Disney Co/The$203,328,0290.58%
Eaton Corp PLC$201,292,6960.57%
Union Pacific Corp$196,453,0880.56%
Deere & Co$193,837,2930.55%
Abbott Laboratories$192,274,7030.54%
Charles Schwab Corp/The$183,503,3470.52%
AT&T Inc$174,973,2500.50%
Blackrock Inc$168,871,0900.48%
Marvell Technology Inc$168,167,8420.48%
Pfizer Inc$166,958,8000.47%
Mastercard Inc$166,367,3660.47%
CVS Health Corp$160,501,5370.45%
Salesforce Inc$155,906,1520.44%
ConocoPhillips$154,078,0760.44%
International Business Machines Corp$154,001,0010.44%
Prologis Inc$153,583,5580.44%
Vertex Pharmaceuticals Inc$153,376,3160.43%
Capital One Financial Corp$151,873,7540.43%
Dell Technologies Inc$151,832,5000.43%