SHE Holdings — SPDR SSGA Gender Diversity Index ETF

All 215 reported holdings of SPDR SSGA Gender Diversity Index ETF (SHE) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Verizon Communications Inc4.49%$12.06M
NVIDIA Corp4.42%$11.88M
Microsoft Corp4.37%$11.75M
Micron Technology Inc3.87%$10.40M
Advanced Micro Devices Inc3.56%$9.56M
JPMorgan Chase & Co2.99%$8.04M
AT&T Inc2.61%$7.00M
Oracle Corp2.22%$5.98M
Walt Disney Co/The2.22%$5.97M
Intel Corp1.82%$4.89M
Exxon Mobil Corp1.80%$4.82M
Johnson & Johnson1.61%$4.33M
Costco Wholesale Corp1.59%$4.28M
Visa Inc1.58%$4.25M
Analog Devices Inc1.53%$4.12M
Chevron Corp1.38%$3.72M
Intuit Inc1.35%$3.62M
Accenture PLC1.34%$3.61M
Bank of America Corp1.32%$3.55M
AbbVie Inc1.27%$3.42M
ServiceNow Inc1.16%$3.11M
Procter & Gamble Co/The1.10%$2.97M
Adobe Inc1.08%$2.91M
Merck & Co Inc1.08%$2.91M
Caterpillar Inc1.07%$2.87M
Corning Inc1.03%$2.76M
Western Digital Corp0.99%$2.65M
Booking Holdings Inc0.96%$2.59M
Wells Fargo & Co0.89%$2.40M
UnitedHealth Group Inc0.89%$2.40M
Linde PLC0.88%$2.37M
GE Vernova Inc0.85%$2.28M
Lowe's Cos Inc0.82%$2.19M
Coca-Cola Co/The0.80%$2.14M
Citigroup Inc0.77%$2.07M
TJX Cos Inc/The0.77%$2.07M
Philip Morris International Inc0.76%$2.05M
TE Connectivity PLC0.72%$1.95M
Gilead Sciences Inc0.69%$1.84M
Abbott Laboratories0.68%$1.84M
Thermo Fisher Scientific Inc0.67%$1.80M
Morgan Stanley0.65%$1.75M
American Express Co0.65%$1.75M
Electronic Arts Inc0.62%$1.68M
Eaton Corp PLC0.61%$1.63M
Starbucks Corp0.57%$1.53M
Honeywell International Inc0.51%$1.38M
Parker-Hannifin Corp0.51%$1.38M
ConocoPhillips0.51%$1.37M
Marriott International Inc/MD0.48%$1.29M
Union Pacific Corp0.47%$1.27M
Keysight Technologies Inc0.46%$1.25M
Autodesk Inc0.46%$1.24M
Prologis Inc0.46%$1.23M
Boeing Co/The0.46%$1.23M
Deere & Co0.45%$1.22M
NXP Semiconductors NV0.45%$1.21M
MercadoLibre Inc0.43%$1.15M
Royal Caribbean Cruises Ltd0.42%$1.12M
Vertex Pharmaceuticals Inc0.41%$1.11M
S&P Global Inc0.41%$1.10M
O'Reilly Automotive Inc0.40%$1.08M
AutoZone Inc0.39%$1.06M
Hilton Worldwide Holdings Inc0.39%$1.04M
Equinix Inc0.38%$1.03M
Stryker Corp0.38%$1.01M
Coherent Corp0.37%$988.57K
Omnicom Group Inc0.35%$948.83K
Chipotle Mexican Grill Inc0.35%$937.70K
Yum! Brands Inc0.34%$905.36K
PNC Financial Services Group Inc/The0.33%$882.30K
Duke Energy Corp0.33%$880.83K
Waste Management Inc0.31%$837.35K
General Motors Co0.31%$832.39K
Howmet Aerospace Inc0.31%$829.66K
Blackrock Inc0.31%$827.07K
CVS Health Corp0.30%$805.60K
Progressive Corp/The0.29%$789.19K
Cummins Inc0.29%$782.28K
Southern Co/The0.28%$754.11K
Ford Motor Co0.28%$751.63K
Newmont Corp0.28%$741.30K
Trane Technologies PLC0.27%$728.04K
Bank of New York Mellon Corp/The0.27%$727.08K
Cigna Group/The0.27%$718.62K
Northrop Grumman Corp0.26%$700.66K
Ecolab Inc0.26%$698.30K
Johnson Controls International plc0.26%$692.20K
Freeport-McMoRan Inc0.26%$687.26K
Colgate-Palmolive Co0.24%$652.35K
Flex Ltd0.24%$647.46K
Tractor Supply Co0.24%$637.01K
eBay Inc0.24%$635.05K
Carnival Corp0.23%$610.25K
Jabil Inc0.23%$606.43K
Aon PLC0.22%$600.37K
WW Grainger Inc0.22%$596.67K
Ulta Beauty Inc0.22%$593.80K
TransDigm Group Inc0.22%$581.80K
Tapestry Inc0.21%$576.15K
Twilio Inc0.21%$575.25K
PACCAR Inc0.21%$572.30K
Emerson Electric Co0.21%$562.34K
Digital Realty Trust Inc0.21%$557.21K
Burlington Stores Inc0.21%$552.50K
Exelon Corp0.20%$549.66K
Vistra Corp0.20%$543.44K
Cencora Inc0.20%$533.41K
American Electric Power Co Inc0.20%$531.66K
News Corp0.19%$518.67K
Crh PLC0.19%$508.57K
Arthur J Gallagher & Co0.18%$494.89K
Waste Connections Inc0.18%$481.31K
Becton Dickinson & Co0.18%$478.14K
Expedia Group Inc0.18%$474.48K
Pinterest Inc0.17%$461.40K
American International Group Inc0.17%$457.37K
Entergy Corp0.17%$456.07K
Rockwell Automation Inc0.17%$446.45K
IDEXX Laboratories Inc0.17%$443.89K
Baker Hughes Co0.16%$442.92K
PG&E Corp0.16%$432.52K
Tyler Technologies Inc0.16%$424.21K
Williams-Sonoma Inc0.16%$420.09K
Xcel Energy Inc0.16%$418.17K
Alnylam Pharmaceuticals Inc0.16%$417.89K
Lululemon Athletica Inc0.16%$417.81K
Westinghouse Air Brake Technologies Corp0.15%$411.60K
Public Storage0.15%$403.61K
PayPal Holdings Inc0.15%$397.98K
Ferguson Enterprises Inc0.15%$396.08K
Public Service Enterprise Group Inc0.15%$394.39K
Occidental Petroleum Corp0.15%$391.62K
Aptiv PLC0.14%$389.42K
Trade Desk Inc/The0.14%$384.10K
Hartford Insurance Group Inc/The0.14%$381.89K
Ameriprise Financial Inc0.14%$377.74K
Ingersoll Rand Inc0.14%$371.52K
Insmed Inc0.14%$371.19K
HubSpot Inc0.14%$365.42K
Nasdaq Inc0.13%$345.08K
Paychex Inc0.13%$343.61K
Edison International0.12%$328.36K
Iron Mountain Inc0.12%$325.11K
Otis Worldwide Corp0.12%$322.50K
American Water Works Co Inc0.12%$316.41K
VICI Properties Inc0.12%$314.32K
Ameren Corp0.12%$313.49K
State Street Corp0.12%$311.34K
Kimberly-Clark Corp0.12%$309.09K
Prudential Financial Inc0.11%$308.41K
DTE Energy Co0.11%$304.72K
Gartner Inc0.11%$302.90K
EMCOR Group Inc0.11%$301.97K
Atlassian Corp0.11%$293.68K
Willis Towers Watson PLC0.11%$284.01K
Las Vegas Sands Corp0.11%$283.73K
Xylem Inc/NY0.10%$277.36K
NVR Inc0.10%$276.77K
PPL Corp0.10%$275.69K
Biogen Inc0.10%$274.45K
Synchrony Financial0.10%$271.33K
Bloom Energy Corp0.10%$265.97K
EQT Corp0.10%$265.82K
Archer-Daniels-Midland Co0.10%$263.28K
Hershey Co/The0.10%$262.36K
Dow Inc0.10%$261.85K
Gen Digital Inc0.10%$260.59K
Flutter Entertainment PLC0.10%$257.83K
IQVIA Holdings Inc0.09%$254.62K
Casey's General Stores Inc0.09%$253.30K
State Street Global Advisors0.09%$239.21K
Ventas Inc0.09%$230.95K
Principal Financial Group Inc0.08%$220.23K
Deckers Outdoor Corp0.08%$219.90K
Best Buy Co Inc0.08%$216.16K
Regions Financial Corp0.08%$215.36K
Labcorp Holdings Inc0.08%$212.38K
LPL Financial Holdings Inc0.08%$204.56K
AvalonBay Communities Inc0.08%$202.39K
Leidos Holdings Inc0.07%$200.93K
Ares Management Corp0.07%$193.98K
Broadridge Financial Solutions Inc0.07%$192.21K
CMS Energy Corp0.07%$186.66K
Estee Lauder Cos Inc/The0.07%$176.63K
Dick's Sporting Goods Inc0.07%$176.28K
Fortive Corp0.07%$175.35K
LyondellBasell Industries NV0.06%$164.34K
Essex Property Trust Inc0.06%$163.83K
WP Carey Inc0.06%$163.38K
West Pharmaceutical Services Inc0.06%$161.16K
Jacobs Solutions Inc0.06%$161.01K
DuPont de Nemours Inc0.06%$160.21K
Tyson Foods Inc0.06%$159.41K
Centene Corp0.06%$155.42K
Textron Inc0.06%$150.52K
Domino's Pizza Inc0.05%$144.95K
Incyte Corp0.05%$136.10K
Mid-America Apartment Communities Inc0.05%$135.43K
Cooper Cos Inc/The0.05%$134.42K
Ball Corp0.05%$130.63K
Neurocrine Biosciences Inc0.05%$127.39K
Bunge Global SA0.05%$125.55K
Healthpeak Properties Inc0.05%$123.26K
Clorox Co/The0.04%$117.21K
Kimco Realty Corp0.04%$115.34K
Gaming and Leisure Properties Inc0.04%$111.63K
Equity Residential0.04%$103.99K
Solventum Corp0.03%$90.18K
Avery Dennison Corp0.03%$89.97K
CNH Industrial NV0.03%$81.36K
CoStar Group Inc0.03%$79.07K
Hormel Foods Corp0.02%$50.69K
State Street Global Advisors0.02%$49.39K
Chicago Mercantile Exchange-0.00%$-7.82K

SHE overview: performance, fees, allocation and SEC filings