XNTK Holdings — SPDR® NYSE Technology ETF

All 36 reported holdings of SPDR® NYSE Technology ETF (XNTK) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Micron Technology Inc9.73%$228.46M
Intel Corp7.51%$176.26M
Marvell Technology Inc7.17%$168.41M
Applied Materials Inc5.67%$133.17M
Advanced Micro Devices Inc5.60%$131.57M
Lam Research Corp5.49%$128.86M
ASML Holding NV3.75%$87.92M
Texas Instruments Inc3.38%$79.31M
Taiwan Semiconductor Manufacturing Co Ltd3.33%$78.06M
Crowdstrike Holdings Inc3.07%$72.14M
Cisco Systems Inc3.07%$72.07M
Amphenol Corp2.77%$65.12M
Arista Networks Inc2.77%$65.00M
Alphabet Inc2.35%$55.16M
NVIDIA Corp2.32%$54.56M
Amazon.com Inc2.14%$50.29M
Broadcom Inc2.13%$50.09M
Apple Inc2.11%$49.63M
QUALCOMM Inc2.11%$49.46M
Tesla Inc1.86%$43.74M
International Business Machines Corp1.85%$43.41M
Meta Platforms Inc1.78%$41.72M
Uber Technologies Inc1.72%$40.47M
Booking Holdings Inc1.71%$40.13M
Microsoft Corp1.58%$37.21M
Oracle Corp1.57%$36.82M
AppLovin Corp1.56%$36.67M
Netflix Inc1.53%$35.80M
Shopify Inc1.41%$33.19M
Palantir Technologies Inc1.29%$30.33M
Alibaba Group Holding Ltd1.25%$29.42M
Salesforce Inc1.21%$28.51M
Adobe Inc1.17%$27.45M
ServiceNow Inc1.17%$27.39M
Intuit Inc0.79%$18.57M
State Street Global Advisors0.04%$871.52K

XNTK overview: performance, fees, allocation and SEC filings