MYCL Holdings — SPDR SSGA My2032 Corporate Bond ETF

All 109 reported holdings of SPDR SSGA My2032 Corporate Bond ETF (MYCL) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
State Street Global Advisors5.24%$518.97K
IBM Corp.2.87%$283.89K
Philip Morris Intl, Inc.2.81%$278.02K
Church & Dwight Co., Inc.2.49%$246.10K
At&t, Inc.2.47%$244.49K
Advanced Micro Devices2.35%$232.70K
Bat Capital Corp.2.33%$231.01K
Centerpoint Ener Houston2.28%$225.89K
Arcelormittal SA2.12%$209.46K
Oracle Corp.2.09%$207.08K
Dick's Sporting Goods2.08%$205.54K
Jbs Nv/usa Foods/food Co.1.98%$195.61K
State Street Global Advisors1.95%$192.86K
Pacific Gas & Electric1.83%$181.25K
General Motors Co.1.82%$180.30K
Micron Technology, Inc.1.81%$179.47K
Hca, Inc.1.69%$167.52K
Bp Cap Markets America1.64%$162.63K
Aep Texas, Inc.1.54%$152.94K
Kraft Heinz Foods Co.1.54%$152.35K
Broadcom, Inc.1.47%$145.68K
Hyatt Hotels Corp.1.46%$144.66K
Sonoco Products Co.1.46%$144.28K
Leidos, Inc.1.34%$132.43K
Amazon.com, Inc.1.33%$131.31K
Netapp, Inc.1.29%$127.89K
Eaton Corp.1.22%$120.76K
Florida Power & Light Co.1.19%$117.97K
T-Mobile USA, Inc.1.17%$115.92K
Hca, Inc.1.08%$106.64K
Becton Dickinson & Co.1.03%$101.97K
Arthur J Gallagher & Co.1.01%$100.10K
Corebridge Financial, Inc.1.00%$98.76K
Duke Energy Corp.0.99%$98.45K
Aercap Ireland Cap/globa0.98%$97.01K
Wrkco, Inc.0.97%$95.97K
Sumisho Air Lease Corp.0.95%$93.77K
Flowserve Corporation0.94%$93.18K
Exelon Corp.0.94%$92.59K
Verizon Communications0.89%$87.80K
Alexandria Real Estate E0.85%$84.14K
Southern Co.0.84%$83.42K
Southern Cal Edison0.84%$83.36K
Synopsys, Inc.0.81%$80.51K
Oneok, Inc.0.80%$79.19K
Meta Platforms, Inc.0.76%$74.82K
Charter Comm Opt Llc/cap0.75%$73.96K
Keybank National Assn0.74%$73.72K
Bank Of America Corp.0.74%$73.64K
Cheniere Energy Partners0.74%$73.43K
Lincoln National Corp.0.74%$73.18K
Ford Motor Company0.73%$71.81K
Take-Two Interactive Sof0.72%$71.54K
Simon Property Group LP0.72%$71.48K
Extra Space Storage LP0.70%$69.42K
Dte Electric Co.0.70%$69.07K
Discovery Holdings, Inc.0.70%$69.06K
Wells Fargo & Company0.70%$69.04K
Jefferies Fin Group, Inc.0.69%$68.43K
Goldman Sachs Group, Inc.0.69%$67.98K
Zoetis, Inc.0.68%$67.67K
Occidental Petroleum Cor0.68%$66.83K
Constellation Brands, Inc.0.67%$66.38K
Lowe's Cos, Inc.0.67%$66.34K
Unitedhealth Group, Inc.0.64%$63.28K
Cbre Services, Inc.0.60%$59.20K
Targa Resources Partners0.57%$56.16K
Charles Schwab Corp.0.55%$54.47K
Progressive Corp.0.55%$54.24K
Oracle Corp.0.55%$54.13K
Glencore Funding LLC0.54%$53.69K
Apple, Inc.0.53%$52.26K
Royal Caribbean Cruises0.51%$50.45K
Howmet Aerospace, Inc.0.51%$50.31K
Georgia Power Co.0.51%$50.02K
Citigroup, Inc.0.50%$49.78K
Mccormick & Co.0.50%$49.77K
Huntington Bancshares0.50%$49.72K
Toyota Motor Credit Corp.0.50%$49.69K
Kinder Morgan, Inc.0.50%$49.60K
JPMorgan Chase & Co.0.50%$49.25K
American Tower Corp.0.49%$48.04K
Diageo Capital PLC0.48%$47.57K
Brown & Brown, Inc.0.48%$47.54K
Intel Corp.0.48%$47.28K
Autonation, Inc.0.47%$46.73K
Duke Energy Carolinas0.47%$46.68K
Home Depot, Inc.0.47%$46.62K
American Homes 4 Rent0.47%$46.48K
Bristol-Myers Squibb Co.0.46%$45.79K
Norfolk Southern Corp.0.46%$45.73K
Morgan Stanley0.46%$45.05K
Vmware LLC0.45%$44.20K
Ecolab, Inc.0.44%$43.88K
Vale Overseas Limited0.43%$42.15K
Amgen, Inc.0.38%$37.20K
Capital One Financial Co.0.33%$32.65K
Meta Platforms, Inc.0.30%$29.61K
Starbucks Corp.0.28%$27.46K
Emerson Electric Co.0.27%$26.73K
Lkq Corp.0.26%$25.86K
Thermo Fisher Scientific0.26%$25.29K
Jbs Nv/usa Foods/food Co.0.24%$24.07K
Texas Instruments, Inc.0.24%$23.81K
Gatx Corp.0.23%$23.12K
Waste Connections, Inc.0.23%$23.00K
Ford Motor Company0.22%$22.15K
Qualcomm, Inc.0.20%$19.68K
Honeywell International0.04%$4.01K

MYCL overview: performance, fees, allocation and SEC filings