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SHE Dashboard
- Holdings
SPDR MSCI USA Gender Diversity ETF
Fund Profile
Security | $Holding | Balance | % of Fund | Category | Position | Country |
---|---|---|---|---|---|---|
NVDA NVIDIA Corporation | 13.91 mm | 112.58 k shares | 5.68 | Common equity | Long | USA |
AAPL Apple Inc. | 11.76 mm | 55.85 k shares | 4.80 | Common equity | Long | USA |
AMZN Amazon.com, Inc. | 11.34 mm | 58.66 k shares | 4.63 | Common equity | Long | USA |
MSFT Microsoft Corporation | 11.19 mm | 25.04 k shares | 4.57 | Common equity | Long | USA |
META Meta Platforms, Inc. | 9.78 mm | 19.40 k shares | 4.00 | Common equity | Long | USA |
GOOG Alphabet Inc. | 8.12 mm | 44.58 k shares | 3.32 | Common equity | Long | USA |
Accenture PLC
|
7.60 mm | 25.06 k shares | 3.10 | Common equity | Long | Ireland |
LLY Eli Lilly and Company | 7.07 mm | 7.81 k shares | 2.89 | Common equity | Long | USA |
INTU Intuit Inc. | 6.99 mm | 10.63 k shares | 2.85 | Common equity | Long | USA |
CSCO Cisco Systems, Inc. | 6.27 mm | 132.02 k shares | 2.56 | Common equity | Long | USA |
JPM JPMorgan Chase & Co. | 5.65 mm | 27.92 k shares | 2.31 | Common equity | Long | USA |
NOW ServiceNow, Inc. | 5.05 mm | 6.42 k shares | 2.06 | Common equity | Long | USA |
INTC Intel Corporation | 4.90 mm | 158.07 k shares | 2.00 | Common equity | Long | USA |
UNH UnitedHealth Group Incorporated | 4.31 mm | 8.46 k shares | 1.76 | Common equity | Long | USA |
V Visa Inc. | 4.03 mm | 15.35 k shares | 1.64 | Common equity | Long | USA |
PG The Procter & Gamble Company | 3.77 mm | 22.86 k shares | 1.54 | Common equity | Long | USA |
JNJ Johnson & Johnson | 3.67 mm | 25.13 k shares | 1.50 | Common equity | Long | USA |
ADI Analog Devices, Inc. | 3.54 mm | 15.50 k shares | 1.44 | Common equity | Long | USA |
XOM Exxon Mobil Corporation | 3.05 mm | 26.53 k shares | 1.25 | Common equity | Long | USA |
NFLX Netflix, Inc. | 3.04 mm | 4.50 k shares | 1.24 | Common equity | Long | USA |
MRK Merck & Co., Inc. | 3.03 mm | 24.45 k shares | 1.24 | Common equity | Long | USA |
BAC Bank of America Corporation | 2.87 mm | 72.17 k shares | 1.17 | Common equity | Long | USA |
TJX The TJX Companies, Inc. | 2.68 mm | 24.34 k shares | 1.09 | Common equity | Long | USA |
COST Costco Wholesale Corporation | 2.60 mm | 3.06 k shares | 1.06 | Common equity | Long | USA |
KO The Coca-Cola Company | 2.53 mm | 39.68 k shares | 1.03 | Common equity | Long | USA |
CVX Chevron Corporation | 2.44 mm | 15.62 k shares | 1.00 | Common equity | Long | USA |
CAT Caterpillar Inc. | 2.26 mm | 6.79 k shares | 0.92 | Common equity | Long | USA |
WFC Wells Fargo & Company | 2.21 mm | 37.28 k shares | 0.90 | Common equity | Long | USA |
Linde PLC
|
2.13 mm | 4.85 k shares | 0.87 | Common equity | Long | Ireland |
ADSK Autodesk, Inc. | 1.89 mm | 7.63 k shares | 0.77 | Common equity | Long | USA |
SBUX Starbucks Corporation | 1.78 mm | 22.88 k shares | 0.73 | Common equity | Long | USA |
WDAY Workday, Inc. | 1.76 mm | 7.89 k shares | 0.72 | Common equity | Long | USA |
ABT Abbott Laboratories | 1.76 mm | 16.95 k shares | 0.72 | Common equity | Long | USA |
ISRG Intuitive Surgical, Inc. | 1.59 mm | 3.57 k shares | 0.65 | Common equity | Long | USA |
UBER Uber Technologies, Inc. | 1.58 mm | 21.77 k shares | 0.65 | Common equity | Long | USA |
CMG Chipotle Mexican Grill, Inc. | 1.47 mm | 23.45 k shares | 0.60 | Common equity | Long | USA |
PGR The Progressive Corporation | 1.45 mm | 7.00 k shares | 0.59 | Common equity | Long | USA |
AXP American Express Company | 1.42 mm | 6.12 k shares | 0.58 | Common equity | Long | USA |
VZ Verizon Communications Inc. | 1.40 mm | 33.98 k shares | 0.57 | Common equity | Long | USA |
SPGI S&P Global Inc. | 1.37 mm | 3.08 k shares | 0.56 | Common equity | Long | USA |
GE General Electric Company | 1.36 mm | 8.58 k shares | 0.56 | Common equity | Long | USA |
MAR Marriott International, Inc. | 1.33 mm | 5.49 k shares | 0.54 | Common equity | Long | USA |
HON Honeywell International Inc. | 1.30 mm | 6.10 k shares | 0.53 | Common equity | Long | USA |
C Citigroup Inc. | 1.22 mm | 19.24 k shares | 0.50 | Common equity | Long | USA |
SCHW The Charles Schwab Corporation | 1.21 mm | 16.45 k shares | 0.50 | Common equity | Long | USA |
Eaton Corp PLC
|
1.17 mm | 3.75 k shares | 0.48 | Common equity | Long | Ireland |
SYK Stryker Corporation | 1.17 mm | 3.45 k shares | 0.48 | Common equity | Long | USA |
HLT Hilton Worldwide Holdings Inc. | 1.15 mm | 5.25 k shares | 0.47 | Common equity | Long | USA |
CDW CDW Corporation | 1.14 mm | 5.09 k shares | 0.47 | Common equity | Long | USA |
MMC Marsh & McLennan Companies, Inc. | 1.10 mm | 5.21 k shares | 0.45 | Common equity | Long | USA |
RTX RTX Corporation | 1.05 mm | 10.50 k shares | 0.43 | Common equity | Long | USA |
Medtronic PLC
|
1.05 mm | 13.33 k shares | 0.43 | Common equity | Long | Ireland |
ROST Ross Stores, Inc. | 1.05 mm | 7.20 k shares | 0.43 | Common equity | Long | USA |
HUBS HubSpot, Inc. | 1.03 mm | 1.75 k shares | 0.42 | Common equity | Long | USA |
BA The Boeing Company | 873.47 k | 4.80 k shares | 0.36 | Common equity | Long | USA |
Cigna Holding Co | 864.77 k | 2.62 k shares | 0.35 | Common equity | Long | USA |
FCX Freeport-McMoRan Inc. | 824.01 k | 16.95 k shares | 0.34 | Common equity | Long | USA |
ZTS Zoetis Inc. | 821.90 k | 4.74 k shares | 0.34 | Common equity | Long | USA |
LMT Lockheed Martin Corporation | 816.49 k | 1.75 k shares | 0.33 | Common equity | Long | USA |
MCK McKesson Corporation | 797.80 k | 1.37 k shares | 0.33 | Common equity | Long | USA |
MCO Moody's Corporation | 790.93 k | 1.88 k shares | 0.32 | Common equity | Long | USA |
CL Colgate-Palmolive Company | 785.25 k | 8.09 k shares | 0.32 | Common equity | Long | USA |
DE Deere & Company | 755.48 k | 2.02 k shares | 0.31 | Common equity | Long | USA |
LULU Lululemon Athletica Inc. | 733.91 k | 2.46 k shares | 0.30 | Common equity | Long | USA |
NOC Northrop Grumman Corporation | 702.32 k | 1.61 k shares | 0.29 | Common equity | Long | USA |
AMT American Tower Corporation | 696.07 k | 3.58 k shares | 0.28 | Common equity | Long | USA |
Trane Technologies PLC
|
694.37 k | 2.11 k shares | 0.28 | Common equity | Long | Ireland |
MPC Marathon Petroleum Corporation | 667.03 k | 3.85 k shares | 0.27 | Common equity | Long | USA |
TGT Target Corporation | 656.26 k | 4.43 k shares | 0.27 | Common equity | Long | USA |
USB U.S. Bancorp | 632.46 k | 15.93 k shares | 0.26 | Common equity | Long | USA |
FDX FedEx Corporation | 630.86 k | 2.10 k shares | 0.26 | Common equity | Long | USA |
DUK Duke Energy Corporation | 623.03 k | 6.22 k shares | 0.25 | Common equity | Long | USA |
TSCO Tractor Supply Company | 603.72 k | 2.24 k shares | 0.25 | Common equity | Long | USA |
EMR Emerson Electric Co. | 593.54 k | 5.39 k shares | 0.24 | Common equity | Long | USA |
WELL Welltower Inc. | 591.41 k | 5.67 k shares | 0.24 | Common equity | Long | USA |
Newmont Corp
|
578.81 k | 13.82 k shares | 0.24 | Common equity | Long | USA |
ECL Ecolab Inc. | 554.78 k | 2.33 k shares | 0.23 | Common equity | Long | USA |
EQIX Equinix, Inc. | 550.80 k | 728.00 shares | 0.22 | Common equity | Long | USA |
EBAY eBay Inc. | 543.38 k | 10.12 k shares | 0.22 | Common equity | Long | USA |
WCN Waste Connections, Inc. | 532.22 k | 3.04 k shares | 0.22 | Common equity | Long | Canada |
MMM 3M Company | 526.59 k | 5.15 k shares | 0.22 | Common equity | Long | USA |
AIG American International Group, Inc. | 526.21 k | 7.09 k shares | 0.21 | Common equity | Long | USA |
Johnson Controls International plc
|
522.06 k | 7.85 k shares | 0.21 | Common equity | Long | Ireland |
GWW W.W. Grainger, Inc. | 518.79 k | 575.00 shares | 0.21 | Common equity | Long | USA |
D Dominion Energy, Inc. | 509.80 k | 10.40 k shares | 0.21 | Common equity | Long | USA |
State Street Institutional Liquid Reserves Fund | 504.20 k | 504.05 k shares | 0.21 | Short-term investment vehicle | Long | USA |
CMI Cummins Inc. | 504.01 k | 1.82 k shares | 0.21 | Common equity | Long | USA |
PRU Prudential Financial, Inc. | 501.10 k | 4.28 k shares | 0.20 | Common equity | Long | USA |
KIOR Kior Inc | 496.97 k | 8.30 k shares | 0.20 | Common equity | Long | USA |
TFC Truist Financial Corporation | 493.05 k | 12.69 k shares | 0.20 | Common equity | Long | USA |
COF Capital One Financial Corporation | 491.64 k | 3.55 k shares | 0.20 | Common equity | Long | USA |
PSA Public Storage | 462.54 k | 1.61 k shares | 0.19 | Common equity | Long | USA |
DLR Digital Realty Trust, Inc. | 444.90 k | 2.93 k shares | 0.18 | Common equity | Long | USA |
ALL The Allstate Corporation | 444.01 k | 2.78 k shares | 0.18 | Common equity | Long | USA |
CARR Carrier Global Corporation | 425.16 k | 6.74 k shares | 0.17 | Common equity | Long | USA |
PSX Phillips 66 | 423.51 k | 3.00 k shares | 0.17 | Common equity | Long | USA |
KMB Kimberly-Clark Corporation | 418.88 k | 3.03 k shares | 0.17 | Common equity | Long | USA |
SLB Schlumberger Limited | 415.18 k | 8.80 k shares | 0.17 | Common equity | Long | Curaçao |
EXC Exelon Corporation | 412.62 k | 11.92 k shares | 0.17 | Common equity | Long | USA |
ULTA Ulta Beauty, Inc. | 402.08 k | 1.04 k shares | 0.16 | Common equity | Long | USA |
NSC Norfolk Southern Corporation | 397.61 k | 1.85 k shares | 0.16 | Common equity | Long | USA |
Ferguson PLC
|
395.24 k | 2.04 k shares | 0.16 | Common equity | Long | Jersey |
IDXX IDEXX Laboratories, Inc. | 389.27 k | 799.00 shares | 0.16 | Common equity | Long | USA |
AEP American Electric Power Company, Inc. | 382.46 k | 4.36 k shares | 0.16 | Common equity | Long | USA |
COR Cencora | 381.88 k | 1.70 k shares | 0.16 | Common equity | Long | USA |
SQ Block, Inc. | 372.30 k | 5.77 k shares | 0.15 | Common equity | Long | USA |
CNC Centene Corporation | 364.32 k | 5.50 k shares | 0.15 | Common equity | Long | USA |
DOW Dow Inc. | 362.33 k | 6.83 k shares | 0.15 | Common equity | Long | USA |
LNG Cheniere Energy, Inc. | 357.18 k | 2.04 k shares | 0.15 | Common equity | Long | USA |
ROK Rockwell Automation, Inc. | 348.23 k | 1.26 k shares | 0.14 | Common equity | Long | USA |
WSM Williams-Sonoma, Inc. | 341.95 k | 1.21 k shares | 0.14 | Common equity | Long | USA |
Public Service Electric & Gas Co | 339.17 k | 4.60 k shares | 0.14 | Common equity | Long | USA |
IR Ingersoll Rand Inc. | 335.65 k | 3.70 k shares | 0.14 | Common equity | Long | USA |
BIIB Biogen Inc. | 334.75 k | 1.44 k shares | 0.14 | Common equity | Long | USA |
AWK American Water Works Company, Inc. | 334.65 k | 2.59 k shares | 0.14 | Common equity | Long | USA |
O Realty Income Corporation | 334.09 k | 6.33 k shares | 0.14 | Common equity | Long | USA |
VICI VICI Properties Inc. | 332.22 k | 11.60 k shares | 0.14 | Common equity | Long | USA |
BURL Burlington Stores, Inc. | 326.64 k | 1.36 k shares | 0.13 | Common equity | Long | USA |
HIG The Hartford Financial Services Group, Inc. | 324.84 k | 3.23 k shares | 0.13 | Common equity | Long | USA |
VLO Valero Energy Corporation | 324.81 k | 2.07 k shares | 0.13 | Common equity | Long | USA |
GIS General Mills, Inc. | 322.75 k | 5.10 k shares | 0.13 | Common equity | Long | USA |
KR The Kroger Co. | 319.20 k | 6.39 k shares | 0.13 | Common equity | Long | USA |
STZ Constellation Brands, Inc. | 316.71 k | 1.23 k shares | 0.13 | Common equity | Long | USA |
EIX Edison International | 307.35 k | 4.28 k shares | 0.13 | Common equity | Long | USA |
HES Hess Corporation | 305.96 k | 2.07 k shares | 0.12 | Common equity | Long | USA |
BBY Best Buy Co., Inc. | 304.88 k | 3.62 k shares | 0.12 | Common equity | Long | USA |
Consolidated Edison Co Of New York Inc | 298.57 k | 3.34 k shares | 0.12 | Common equity | Long | USA |
Willis Towers Watson PLC
|
295.96 k | 1.13 k shares | 0.12 | Common equity | Long | Ireland |
OXY Occidental Petroleum Corporation | 291.83 k | 4.63 k shares | 0.12 | Common equity | Long | USA |
ALNY Alnylam Pharmaceuticals, Inc. | 291.60 k | 1.20 k shares | 0.12 | Common equity | Long | USA |
DTE DTE Energy Company | 291.51 k | 2.63 k shares | 0.12 | Common equity | Long | USA |
VLTO Veralto Corporation | 286.60 k | 3.00 k shares | 0.12 | Common equity | Long | USA |
DG Dollar General Corporation | 284.16 k | 2.15 k shares | 0.12 | Common equity | Long | USA |
MTB M&T Bank Corporation | 283.35 k | 1.87 k shares | 0.12 | Common equity | Long | USA |
FITB Fifth Third Bancorp | 280.72 k | 7.69 k shares | 0.11 | Common equity | Long | USA |
PPG PPG Industries, Inc. | 276.96 k | 2.20 k shares | 0.11 | Common equity | Long | USA |
HSY The Hershey Company | 276.48 k | 1.50 k shares | 0.11 | Common equity | Long | USA |
KDP Keurig Dr Pepper Inc. | 270.51 k | 8.10 k shares | 0.11 | Common equity | Long | USA |
VST Vistra Corp. | 270.49 k | 3.15 k shares | 0.11 | Common equity | Long | USA |
VEEV Veeva Systems Inc. | 265.55 k | 1.45 k shares | 0.11 | Common equity | Long | USA |
XEL Xcel Energy Inc. | 259.41 k | 4.86 k shares | 0.11 | Common equity | Long | USA |
EL The Estée Lauder Companies Inc. | 259.40 k | 2.44 k shares | 0.11 | Common equity | Long | USA |
TROW T. Rowe Price Group, Inc. | 256.33 k | 2.22 k shares | 0.10 | Common equity | Long | USA |
AVB AvalonBay Communities, Inc. | 252.41 k | 1.22 k shares | 0.10 | Common equity | Long | USA |
VTR Ventas, Inc. | 244.41 k | 4.77 k shares | 0.10 | Common equity | Long | USA |
FANG Diamondback Energy, Inc. | 243.23 k | 1.22 k shares | 0.10 | Common equity | Long | USA |
CBRE CBRE Group, Inc. | 242.47 k | 2.72 k shares | 0.10 | Common equity | Long | USA |
CAH Cardinal Health, Inc. | 242.26 k | 2.46 k shares | 0.10 | Common equity | Long | USA |
SBAC SBA Communications Corporation | 241.84 k | 1.23 k shares | 0.10 | Common equity | Long | USA |
ADM Archer-Daniels-Midland Company | 239.62 k | 3.96 k shares | 0.10 | Common equity | Long | USA |
CNP CenterPoint Energy, Inc. | 235.60 k | 7.61 k shares | 0.10 | Common equity | Long | USA |
PINS Pinterest, Inc. | 229.25 k | 5.20 k shares | 0.09 | Common equity | Long | USA |
BR Broadridge Financial Solutions, Inc. | 226.94 k | 1.15 k shares | 0.09 | Common equity | Long | USA |
ETR Entergy Corporation | 224.49 k | 2.10 k shares | 0.09 | Common equity | Long | USA |
CHTR Charter Communications, Inc. | 221.23 k | 740.00 shares | 0.09 | Common equity | Long | USA |
MAA Mid-America Apartment Communities, Inc. | 219.76 k | 1.54 k shares | 0.09 | Common equity | Long | USA |
WEC WEC Energy Group, Inc. | 214.27 k | 2.73 k shares | 0.09 | Common equity | Long | USA |
PPL PPL Corporation | 212.55 k | 7.69 k shares | 0.09 | Common equity | Long | USA |
LyondellBasell Industries NV
|
209.21 k | 2.19 k shares | 0.09 | Common equity | Long | Netherlands |
MGM MGM Resorts International | 208.56 k | 4.69 k shares | 0.09 | Common equity | Long | USA |
DKS DICK'S Sporting Goods, Inc. | 207.12 k | 964.00 shares | 0.08 | Common equity | Long | USA |
IFF International Flavors & Fragrances Inc. | 203.08 k | 2.13 k shares | 0.08 | Common equity | Long | USA |
HBAN Huntington Bancshares Incorporated | 202.97 k | 15.40 k shares | 0.08 | Common equity | Long | USA |
RF Regions Financial Corporation | 201.90 k | 10.07 k shares | 0.08 | Common equity | Long | USA |
DVN Devon Energy Corporation | 196.80 k | 4.15 k shares | 0.08 | Common equity | Long | USA |
SYF Synchrony Financial | 196.12 k | 4.16 k shares | 0.08 | Common equity | Long | USA |
HUBB Hubbell Incorporated | 194.44 k | 532.00 shares | 0.08 | Common equity | Long | USA |
WY Weyerhaeuser Company | 191.75 k | 6.75 k shares | 0.08 | Common equity | Long | USA |
Leidos Holdings, Inc. | 190.81 k | 1.31 k shares | 0.08 | Common equity | Long | USA |
PFG Principal Financial Group, Inc. | 188.75 k | 2.41 k shares | 0.08 | Common equity | Long | USA |
NTRS Northern Trust Corporation | 180.81 k | 2.15 k shares | 0.07 | Common equity | Long | USA |
BBWI Bath & Body Works, Inc. | 170.84 k | 4.38 k shares | 0.07 | Common equity | Long | USA |
ES Eversource Energy | 170.13 k | 3.00 k shares | 0.07 | Common equity | Long | USA |
CFG Citizens Financial Group, Inc. | 169.16 k | 4.70 k shares | 0.07 | Common equity | Long | USA |
FDS FactSet Research Systems Inc. | 164.94 k | 404.00 shares | 0.07 | Common equity | Long | USA |
AEE Ameren Corporation | 163.55 k | 2.30 k shares | 0.07 | Common equity | Long | USA |
Amcor PLC
|
163.18 k | 16.68 k shares | 0.07 | Common equity | Long | Jersey |
MKC McCormick & Company, Incorporated | 157.91 k | 2.23 k shares | 0.06 | Common equity | Long | USA |
CLX The Clorox Company | 156.39 k | 1.15 k shares | 0.06 | Common equity | Long | USA |
ETSY Etsy, Inc. | 155.88 k | 2.64 k shares | 0.06 | Common equity | Long | USA |
J Jacobs Engineering Group Inc. | 146.42 k | 1.05 k shares | 0.06 | Common equity | Long | USA |
UTHR United Therapeutics Corporation | 146.21 k | 459.00 shares | 0.06 | Common equity | Long | USA |
OC Owens Corning | 146.10 k | 841.00 shares | 0.06 | Common equity | Long | USA |
WBD Warner Bros. Discovery, Inc. | 142.02 k | 19.09 k shares | 0.06 | Common equity | Long | USA |
SSNC SS&C Technologies Holdings, Inc. | 140.76 k | 2.25 k shares | 0.06 | Common equity | Long | USA |
CE Celanese Corporation | 137.99 k | 1.02 k shares | 0.06 | Common equity | Long | USA |
TSN Tyson Foods, Inc. | 137.76 k | 2.41 k shares | 0.06 | Common equity | Long | USA |
ACM AECOM | 136.44 k | 1.55 k shares | 0.06 | Common equity | Long | USA |
Pentair PLC
|
135.32 k | 1.77 k shares | 0.06 | Common equity | Long | Ireland |
NBIX Neurocrine Biosciences, Inc. | 133.82 k | 972.00 shares | 0.05 | Common equity | Long | USA |
TRU TransUnion | 133.12 k | 1.80 k shares | 0.05 | Common equity | Long | USA |
SUI Sun Communities, Inc. | 128.64 k | 1.07 k shares | 0.05 | Common equity | Long | USA |
Host Hotels & Resorts, Inc. | 127.51 k | 7.09 k shares | 0.05 | Common equity | Long | USA |
TXT Textron Inc. | 123.98 k | 1.44 k shares | 0.05 | Common equity | Long | USA |
NI NiSource Inc. | 123.13 k | 4.27 k shares | 0.05 | Common equity | Long | USA |
SWK Stanley Black & Decker, Inc. | 122.31 k | 1.53 k shares | 0.05 | Common equity | Long | USA |
INCY Incyte Corporation | 121.54 k | 2.01 k shares | 0.05 | Common equity | Long | USA |
SJM The J. M. Smucker Company | 117.65 k | 1.08 k shares | 0.05 | Common equity | Long | USA |
REG Regency Centers Corporation | 117.62 k | 1.89 k shares | 0.05 | Common equity | Long | USA |
WRKCo Inc. | 117.51 k | 2.34 k shares | 0.05 | Common equity | Long | USA |