MYCO Holdings — SPDR SSGA My2035 Corporate Bond ETF

All 94 reported holdings of SPDR SSGA My2035 Corporate Bond ETF (MYCO) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Charter Comm Opt Llc/cap2.21%$135.84K
Abbvie, Inc.2.20%$135.19K
Rtx Corp.2.19%$134.31K
Pacific Gas & Electric2.18%$133.97K
Jbs Nv/usa Foods/food Co.2.12%$129.93K
Aep Transmission Co. LLC2.09%$128.20K
Georgia Power Co.2.08%$127.60K
At&t, Inc.2.08%$127.56K
IBM Corp.2.07%$127.10K
Firstenergy Transmission2.03%$124.58K
Anheuser-Busch Inbev Wor2.00%$122.91K
Exelon Corp.2.00%$122.73K
Huntington Ingalls Indus1.77%$108.75K
Bat Capital Corp.1.77%$108.38K
Broadcom, Inc.1.72%$105.53K
Philip Morris Intl, Inc.1.69%$103.61K
Eli Lilly & Co.1.58%$96.87K
Unitedhealth Group, Inc.1.58%$96.67K
L3harris Tech, Inc.1.52%$93.42K
Jm Smucker Co.1.52%$93.24K
Gilead Sciences, Inc.1.51%$92.70K
State Street Global Advisors1.35%$82.75K
Hca, Inc.1.34%$82.34K
Energy Transfer LP1.34%$82.28K
Intel Corp.1.30%$79.90K
Charles Schwab Corp.1.30%$79.78K
General Motors Co.1.27%$77.85K
Oracle Corp.1.26%$77.59K
Glencore Funding LLC1.26%$77.07K
Bp Cap Markets America1.24%$76.36K
Leidos, Inc.1.24%$76.24K
T-Mobile USA, Inc.1.24%$75.92K
Enterprise Products Oper1.18%$72.41K
Netapp, Inc.1.17%$71.67K
Marvell Technology, Inc.1.17%$71.55K
Toll Bros Finance Corp.1.16%$71.49K
Autonation, Inc.1.16%$71.48K
Synopsys, Inc.1.14%$69.87K
Verisk Analytics, Inc.1.13%$69.53K
MSCI, Inc.1.12%$68.90K
Duke Energy Corp.1.12%$68.70K
Cvs Health Corp.1.11%$67.84K
Coterra Energy, Inc.1.07%$65.81K
Boeing Co.1.05%$64.52K
Meta Platforms, Inc.1.04%$63.95K
Southern Calif Gas Co.0.92%$56.35K
Merck & Co., Inc.0.90%$54.94K
Centerpoint Ener Houston0.89%$54.44K
Oracle Corp.0.88%$54.04K
Pultegroup, Inc.0.85%$52.24K
JPMorgan Chase & Co.0.84%$51.44K
Wells Fargo & Company0.84%$51.30K
American International0.83%$51.12K
United Parcel Service0.83%$51.08K
Targa Resources Corp.0.83%$50.74K
Emerson Electric Co.0.82%$50.28K
Williams Companies, Inc.0.82%$50.07K
Carlisle Cos, Inc.0.82%$50.05K
Mplx LP0.82%$50.03K
M&t Bank Corporation0.81%$49.94K
Arthur J Gallagher & Co.0.81%$49.63K
Marsh & Mclennan Cos, Inc.0.81%$49.60K
O'reilly Automotive, Inc.0.81%$49.53K
Ovintiv, Inc.0.79%$48.39K
Diamondback Energy, Inc.0.76%$46.39K
Prologis LP0.74%$45.60K
Ameren Corp.0.74%$45.56K
Maple Parent Hlds Co.0.74%$45.42K
Regency Centers LP0.73%$45.04K
Expedia Group, Inc.0.73%$44.75K
Uber Technologies, Inc.0.71%$43.81K
Meta Platforms, Inc.0.65%$39.96K
Nrg Energy, Inc.0.48%$29.45K
Comcast Corp.0.45%$27.33K
Morgan Stanley0.42%$25.75K
Goldman Sachs Group, Inc.0.41%$25.43K
Stryker Corp.0.41%$25.31K
Toyota Motor Corp.0.41%$25.31K
Nucor Corp.0.41%$25.24K
General Dynamics Corp.0.41%$25.11K
Packaging Corp. Of Americ0.41%$24.97K
Alexandria Real Estate E0.41%$24.96K
Avalonbay Communities0.41%$24.90K
Royal Caribbean Cruises0.41%$24.86K
Pacificorp0.40%$24.80K
Baxter International, Inc.0.40%$24.75K
Canadian Pacific Railway0.40%$24.70K
Mid-America Apartments0.40%$24.68K
Alphabet, Inc.0.40%$24.50K
Medtronic, Inc.0.39%$24.09K
Apple, Inc.0.33%$20.20K
Walt Disney Company/the0.27%$16.63K
Public Storage Op Co.0.24%$14.86K
Patterson-Uti Energy, Inc.0.08%$5.02K

MYCO overview: performance, fees, allocation and SEC filings