LGLV Holdings — SPDR SSGA US Large Cap Low Volatility Index ETF

All 172 reported holdings of SPDR SSGA US Large Cap Low Volatility Index ETF (LGLV) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Johnson & Johnson1.74%$25.54M
Corning Inc1.42%$20.89M
Linde PLC1.42%$20.80M
Corteva Inc1.40%$20.61M
Walmart Inc1.39%$20.35M
PepsiCo Inc1.28%$18.85M
Vulcan Materials Co1.28%$18.75M
CME Group Inc1.17%$17.10M
Amphenol Corp1.10%$16.18M
General Dynamics Corp1.07%$15.73M
Colgate-Palmolive Co1.07%$15.64M
Duke Energy Corp1.04%$15.21M
Xcel Energy Inc1.03%$15.13M
Northrop Grumman Corp1.03%$15.12M
DTE Energy Co1.03%$15.07M
Equinix Inc1.00%$14.65M
Merck & Co Inc1.00%$14.66M
McDonald's Corp0.99%$14.59M
Casey's General Stores Inc0.99%$14.52M
Consolidated Edison Inc0.97%$14.18M
Travelers Cos Inc/The0.96%$14.16M
Cencora Inc0.93%$13.69M
Ameren Corp0.93%$13.63M
Verizon Communications Inc0.92%$13.51M
WEC Energy Group Inc0.92%$13.49M
Berkshire Hathaway Inc0.91%$13.42M
Southern Co/The0.90%$13.26M
L3Harris Technologies Inc0.90%$13.24M
Lockheed Martin Corp0.88%$12.91M
CMS Energy Corp0.85%$12.48M
Electronic Arts Inc0.85%$12.45M
Waste Management Inc0.85%$12.45M
Realty Income Corp0.85%$12.44M
Procter & Gamble Co/The0.84%$12.36M
Cummins Inc0.84%$12.31M
Nasdaq Inc0.83%$12.15M
Republic Services Inc0.82%$12.03M
Kinder Morgan Inc0.81%$11.91M
NiSource Inc0.81%$11.85M
TJX Cos Inc/The0.80%$11.79M
Chubb Ltd0.79%$11.62M
Costco Wholesale Corp0.76%$11.21M
Allstate Corp/The0.76%$11.12M
Cisco Systems Inc0.76%$11.09M
AMETEK Inc0.75%$11.08M
Equity Residential0.74%$10.79M
Bristol-Myers Squibb Co0.73%$10.77M
CH Robinson Worldwide Inc0.72%$10.63M
Markel Group Inc0.72%$10.55M
W R Berkley Corp0.71%$10.39M
Alphabet Inc0.71%$10.35M
Microsoft Corp0.70%$10.34M
Packaging Corp of America0.69%$10.12M
Loews Corp0.69%$10.11M
Public Storage0.68%$10.04M
Williams Cos Inc/The0.68%$9.99M
TE Connectivity PLC0.68%$9.94M
Willis Towers Watson PLC0.67%$9.78M
Analog Devices Inc0.66%$9.75M
Texas Instruments Inc0.66%$9.63M
Fastenal Co0.66%$9.63M
Motorola Solutions Inc0.65%$9.58M
Becton Dickinson & Co0.65%$9.56M
Dover Corp0.65%$9.53M
VICI Properties Inc0.64%$9.46M
Expeditors International of Washington Inc0.64%$9.44M
AvalonBay Communities Inc0.64%$9.43M
Intercontinental Exchange Inc0.64%$9.42M
Marsh & McLennan Cos Inc0.64%$9.41M
Exxon Mobil Corp0.63%$9.20M
Akamai Technologies Inc0.62%$9.17M
Illinois Tool Works Inc0.61%$9.02M
PACCAR Inc0.61%$8.99M
Honeywell International Inc0.61%$8.96M
Expand Energy Corp0.59%$8.70M
Abbott Laboratories0.59%$8.64M
Garmin Ltd0.59%$8.62M
Progressive Corp/The0.59%$8.62M
Sun Communities Inc0.59%$8.60M
O'Reilly Automotive Inc0.58%$8.49M
Visa Inc0.58%$8.49M
AT&T Inc0.57%$8.42M
Rollins Inc0.57%$8.41M
VeriSign Inc0.57%$8.40M
Jacobs Solutions Inc0.57%$8.36M
International Business Machines Corp0.57%$8.35M
AutoZone Inc0.56%$8.25M
Invitation Homes Inc0.56%$8.22M
Union Pacific Corp0.56%$8.20M
Cheniere Energy Inc0.55%$8.13M
Otis Worldwide Corp0.54%$8.00M
Fox Corp0.54%$7.94M
Mid-America Apartment Communities Inc0.54%$7.86M
IDEX Corp0.53%$7.78M
S&P Global Inc0.53%$7.71M
Graco Inc0.52%$7.71M
Yum! Brands Inc0.51%$7.47M
Nordson Corp0.51%$7.44M
DT Midstream Inc0.50%$7.38M
Avery Dennison Corp0.50%$7.27M
Boston Scientific Corp0.49%$7.18M
Arthur J Gallagher & Co0.49%$7.17M
Home Depot Inc/The0.48%$7.01M
Automatic Data Processing Inc0.47%$6.88M
CNA Financial Corp0.46%$6.71M
Tractor Supply Co0.45%$6.67M
Hasbro Inc0.45%$6.64M
Equity LifeStyle Properties Inc0.45%$6.58M
CACI International Inc0.45%$6.57M
Service Corp International/US0.43%$6.25M
Lowe's Cos Inc0.42%$6.24M
Broadridge Financial Solutions Inc0.42%$6.24M
Jack Henry & Associates Inc0.42%$6.21M
Amcor PLC0.42%$6.20M
UDR Inc0.41%$6.03M
UnitedHealth Group Inc0.41%$5.96M
Assurant Inc0.40%$5.94M
Texas Roadhouse Inc0.40%$5.94M
Paychex Inc0.40%$5.82M
Roper Technologies Inc0.39%$5.74M
Brown & Brown Inc0.38%$5.57M
Camden Property Trust0.38%$5.54M
Fortive Corp0.38%$5.51M
Donaldson Co Inc0.37%$5.46M
Houlihan Lokey Inc0.37%$5.45M
Check Point Software Technologies Ltd0.37%$5.37M
Booz Allen Hamilton Holding Corp0.36%$5.27M
EastGroup Properties Inc0.35%$5.17M
American Homes 4 Rent0.35%$5.16M
Toro Co/The0.34%$5.05M
Comcast Corp0.34%$5.03M
Old Republic International Corp0.34%$4.92M
Verisk Analytics Inc0.33%$4.89M
Murphy USA Inc0.33%$4.89M
Intuit Inc0.33%$4.89M
CDW Corp/DE0.32%$4.77M
Cognizant Technology Solutions Corp0.32%$4.76M
Tyler Technologies Inc0.32%$4.70M
National Fuel Gas Co0.31%$4.54M
AptarGroup Inc0.31%$4.52M
FactSet Research Systems Inc0.30%$4.46M
Qiagen NV0.30%$4.44M
Agree Realty Corp0.29%$4.29M
Accenture PLC0.29%$4.29M
First Industrial Realty Trust Inc0.29%$4.23M
SEI Investments Co0.28%$4.05M
Amdocs Ltd0.27%$3.93M
COPT Defense Properties0.25%$3.71M
STAG Industrial Inc0.25%$3.71M
Commerce Bancshares Inc/MO0.25%$3.62M
FTI Consulting Inc0.23%$3.38M
Hanover Insurance Group Inc/The0.23%$3.33M
MSA Safety Inc0.22%$3.25M
Dolby Laboratories Inc0.21%$3.09M
CoStar Group Inc0.21%$3.07M
Landstar System Inc0.21%$3.04M
Chemed Corp0.20%$2.90M
NewMarket Corp0.19%$2.72M
Gentex Corp0.18%$2.67M
RLI Corp0.17%$2.51M
Science Applications International Corp0.17%$2.49M
Selective Insurance Group Inc0.17%$2.46M
Waters Corp0.17%$2.45M
Silgan Holdings Inc0.12%$1.83M
State Street Global Advisors0.12%$1.74M
Graphic Packaging Holding Co0.11%$1.59M
Ralliant Corp0.09%$1.38M
State Street Global Advisors0.07%$1.08M
Solstice Advanced Materials Inc0.05%$750.71K
State Street Global Advisors0.04%$564.07K
Versant Media Group Inc0.02%$262.73K
Amentum Holdings Inc0.01%$103.28K

LGLV overview: performance, fees, allocation and SEC filings