Fund report

US-listed

SPYM

State Street SPDR Portfolio S&P 500 ETF
SPLG · State Street (SPDR)

507 holdings as of 2026-09-11 · top 10 = 39.6% · TER 0.02% · P/E 27.5

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Concentration
Moderately concentratedtop 10 = 39.6%
diversifiedconcentrated
GROWTH · NAV (USD)rebased to 0%
Holdings
507
as of 2026-09-11
Top 10
39.6%
TER
0.02%
cheaper than 100% of peers
Net assets
US$167B
reported in USD
Largest
8.0%
P / E
27.5
covers 97% by weight
01Overview
the fund's regulatory facts
Fund currency
USD
Volatility 1Y
12.9%
02Valuation and performance
market price return · as of 2026-09-17
1M
-0.9%
3M
+1.9%
6M
+15.6%
YTD
+11.6%
1Y
+15.5%
Valuation492 companies covered · weighted, profitable holdings only
27.5
price / earnings
MethodologyCompany-data coverageThe rest is 2% loss-making companies, which carry no P/E by the positive-earner convention; 1% cannot be reliably linked to the financial and market data used in this analysis. We exclude uncertain matches rather than estimate them.
3.5%
MethodologyEarnings yieldP/E is price over earnings; earnings yield is the reverse, earnings over price, and reads like a bond yield. P/E covers only the profitable holdings, since a loss-making company has no meaningful P/E. Earnings yield counts the loss-makers too, so it covers more of the fund and can fall below zero when the holdings lose money overall.
covers 99% by weight
5.44
price / book
covers 85% by weight

Computed from company filings and reported position values. MethodologyPortfolio valuationComputed by us from each company's own financial statements and the position values funds report, currency-adjusted and weighted harmonically. P/E covers profitable holdings only. Book value uses the most recent reported quarter.. Not investment advice.

03Holdings
50 largest · as of 2026-09-11
#CompanyIdentifierWeight
1NVIDIA CORP USNVDA
8.0
2Apple Inc USAAPL
7.4
3Microsoft Corp USMSFT
5.6
4ALPHABET INC USGOOGL
5.4
5AMAZON.COM INC USAMZN
3.8
6BROADCOM INC USAVGO
2.6
7META PLATFORMS INC-CLASS A USMETA
2.2
8Micron Technology Inc USMU
1.7
9TESLA INC USTSLA
1.6
10JPMorgan Chase & Co USJPM
1.4
11BERKSHIRE HATHAWAY INC. USBRK/B
1.4
12ELI LILLY & CO USLLY
1.3
13ADVANCED MICRO DEVICES USAMD
1.3
14ExxonMobil Holdings Corporation US2670549D
1.0
15JOHNSON & JOHNSON USJNJ
1.0
16Visa Inc USV
0.9
17Intel Corp USINTC
0.8
18WALMART INC. USWMT
0.7
19Mastercard Inc USMA
0.7
20AbbVie Inc USABBV
0.7
21CISCO SYSTEMS, INC. USCSCO
0.7
22Bank of America Corp USBAC
0.6
23Costco Wholesale Corp USCOST
0.6
24Chevron Corp USCVX
0.6
25PALANTIR TECHNOLOGIES INC-A USPLTR
0.6
26Caterpillar Inc USCAT
0.6
27LAM RESEARCH CORPORATION USLRCX
0.6
28Applied Materials Inc USAMAT
0.5
29Merck & Co Inc USMRK
0.5
30UnitedHealth Group Inc USUNH
0.5
31THE COCA-COLA COMPANY USKO
0.5
32THE PROCTER & GAMBLE COMPANY USPG
0.5
33General Electric Co USGE
0.5
34NETFLIX INC USNFLX
0.5
35Home Depot Inc/The USHD
0.5
36THE GOLDMAN SACHS GROUP, INC. USGS
0.5
37Philip Morris International Inc USPM
0.5
38Wells Fargo & Co USWFC
0.4
39Palo Alto Networks Inc USPANW
0.4
40RTX Corp USRTX
0.4
41GE VERNOVA INC. USGEV
0.4
42MORGAN STANLEY USMS
0.4
43Oracle Corp USORCL
0.4
44Texas Instruments Inc USTXN
0.4
45SANDISK CORPORATION USSNDK
0.4
46CITIGROUP INC. USC
0.4
47KLA Corp USKLAC
0.4
48INTERNATIONAL BUSINESS MACHINES CORPORATION USIBM
0.3
49Thermo Fisher Scientific Inc USTMO
0.3
50SSI US GOV MONEY MARKET CLASS -
0.3
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04Exposure
Equity 100.0%
By sector
Technology38.3%
Financial Services12.2%
Communication Services9.6%
Healthcare9.0%
Consumer Cyclical8.9%
Industrials8.2%
Consumer Defensive4.5%
Energy2.4%
Utilities2.0%
Materials1.8%
Real Estate1.8%
By country
USUnited States97.2%
IEIreland1.9%
CHSwitzerland0.3%
NLNetherlands0.1%
BMBermuda0.1%
LRLR0.1%
JEJersey0.0%
CACanada0.0%
CurrencyUSD 97.3% EUR 2.0% CHF 0.3% GBP 0.0% CAD 0.0%
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Ranked by how much of their holdings you already own through this fund. Overlap by weight where shown.

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