Components SPDR S&P Capital Markets ETF - USD

ETF

KCE

US78464A7717

Delayed Nyse 14:43:23 29/04/2024 BST 5-day change 1st Jan Change
108.3 USD +0.20% Intraday chart for SPDR S&P Capital Markets ETF - USD +1.26% +6.22%

Composition of SPDR S&P Capital Markets ETF - USD

Weight
226.2 USD -4.29%-0.13%+29.70%1.90%
14.6 USD -0.51%-6.23%-18.11%1.88%
122.9 USD +0.32%+0.73%-6.06%1.87%
23.96 USD -4.14%-5.18%-18.58%1.85%
43.98 USD +0.25%+1.44%+1.51%1.85%
92.5 USD +0.56%+0.46%-0.79%1.82%
132.5 USD +0.62%+0.81%+3.34%1.82%
8.275 USD -0.30%+7.65%+14.96%1.81%
42.05 USD +0.21%-1.05%-4.70%1.81%
19 USD +1.09%+2.11%+26.44%1.80%
203 USD +0.61%-0.28%-30.39%1.79%
481 USD +0.68%-6.64%-14.97%1.79%
184.4 USD +0.04%-3.87%+7.95%1.77%
31.84 USD +0.49%+1.57%+5.24%1.77%
46.5 USD +0.83%+2.48%+13.84%1.77%
430.2 USD +0.61%+2.96%+11.39%1.76%
70.96 USD +0.85%+1.98%-6.63%1.76%
43.94 USD +0.88%+0.34%+8.09%1.76%
114.9 USD +0.31%+2.92%+1.14%1.75%
113.7 USD -0.31%+1.92%+5.53%1.75%
161 USD +0.53%-1.03%+5.65%1.75%
765.4 USD +0.33%+0.83%-5.59%1.75%
17.78 USD -0.59%+3.37%+39.48%1.74%
60.14 USD +0.02%-0.92%+4.30%1.73%
95.34 USD -0.20%+0.54%+14.64%1.73%
21.91 USD -0.50%+3.75%+7.95%1.73%
134.1 USD +0.34%+0.94%+12.05%1.72%
424.6 USD +0.73%-3.86%-11.64%1.72%
75.16 USD +0.23%+0.70%+8.69%1.72%
80.36 USD +1.66%+3.48%+15.60%1.71%
199 USD +0.95%+3.82%+13.67%1.70%
417.5 USD +1.82%-1.32%+9.47%1.70%
57.64 USD +0.57%+0.74%+10.63%1.70%
416.9 USD +0.27%-0.09%-5.44%1.70%
66.64 USD +0.11%-0.40%+4.93%1.69%
127.9 USD +0.92%-0.73%+5.94%1.69%
84.08 USD +0.84%+0.32%-0.68%1.68%
94.85 USD +0.81%-0.25%-6.58%1.68%
33.18 USD +1.14%-5.19%-0.96%1.68%
50.43 USD +1.37%-5.73%-10.62%1.68%
73.69 USD +0.41%-1.22%-4.98%1.68%
51.5 USD -0.16%+5.11%+49.33%1.68%
376.9 USD +0.20%-0.61%-3.48%1.67%
285.9 USD -0.14%-5.11%+0.45%1.67%
123.6 USD +1.40%-2.24%+10.02%1.67%
63.34 USD +0.50%-0.38%+2.10%1.66%
270.1 USD +1.42%+1.07%+17.36%1.63%
101.5 USD -0.35%+0.13%+11.96%1.61%
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ETF Ratings

Description

US78464A7717
Total Expense Ratio 0.35%
Asset Class
Sector
Size
Currency
Provider
Underlying S&P Capital Markets Select Industry Total Return Index - USD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
07/11/2005
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 27/03/2024 )

AuM (EUR) 302 M€
AuM 1M 365 M€
AuM 3 months 247 M€
AuM 6 months 301 M€
AuM 12 months 101 M€
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