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SPLG

SPDR Portfolio S&P 500 ETF
1W: -1.8% 1M: -5.3% 3M: -3.4% YTD: -5.1% 1Y: +15.5% 3Y: +73.2% 5Y: +75.2%
$76.31
-1.14 (-1.47%)
After Hours: $77.07 (+0.77, +1.01%)
ETF AMEX · AUM $92.6B
ETF-Level Metrics
AUM$92.6B
Holdings504
Top 10 Wt40.0%
Beta1.00
% Profitable90%
Coverage100%
Portfolio Valuation
P/E33.2
P/B11.0
P/S7.9
EV/EBITDA22.8
P/FCF41.4
PEG1.42
Profitability & Returns
Gross Margin51.2%
Net Margin23.6%
ROE36.7%
ROA12.2%
ROIC31.5%
Div Yield1.18%
Leverage & Liquidity
Debt/Equity0.55
Debt/Assets0.19
Net Debt/EBITDA-0.0x
Interest Cov12.3x
Current Ratio1.18
Quick Ratio1.11
Growth (YoY)
Revenue+17.4%
Net Income+27.8%
EPS+28.8%
FCF+30.5%
EBITDA+24.9%
Rev CAGR 3Y+15.0%
Quality Scores
Piotroski F6.9
Altman Z12.50
IS Quality77.0
IS Overall61.8
IS Value45.0
Median P/E23.0

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 79 36.8% 16.1
Financial Services 69 12.6% 16.8
Consumer Cyclical 53 10.3% 32.7
Communication Services 24 10.3% 14.2
Healthcare 60 9.0% 25.5
Industrials 75 7.4% 33.3
Consumer Defensive 37 4.8% 16.2
Energy 23 2.8% 23.5
Utilities 32 2.6% 23.5
Real Estate 31 1.9% 124.0
Basic Materials 20 1.5% 0.4
Other 4 0.1%

Smart Money Overlap

76 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
MSFT Microsoft Corporation 6.85% 4 Bullish 1 23 -5.0%
AVGO Broadcom Inc. 2.98% 4 Bullish 1 11 -3.5%
V Visa Inc. 1.00% 4 Bullish 7 12 -4.8%
NFLX Netflix, Inc. 0.80% 4 Bullish 71 14 -5.4%
MA Mastercard Incorporated 0.79% 4 Bullish 13 3 -4.0%
WMT Walmart Inc. 0.77% 4 Bullish 21 3 -1.1%
JNJ Johnson & Johnson 0.76% 4 Bullish 12 2 -2.7%
UNH UnitedHealth Group Incorporated 0.57% 4 Bullish 7 7 -2.0%
IBM International Business Machines Corporation 0.49% 4 Bullish 10 8 +1.0%
CSCO Cisco Systems, Inc. 0.49% 4 Bullish 5 6 -1.6%
MU Micron Technology, Inc. 0.42% 4 Bullish 3 3 +1.2%
CRM Salesforce, Inc. 0.41% 4 Bullish 4 5 +0.2%
RTX RTX Corporation 0.41% 4 Bullish 18 3 +1.2%
MCD McDonald's Corporation 0.37% 4 Bullish 11 1 -5.2%
MRK Merck & Co., Inc. 0.37% 4 Bullish 11 2 -3.5%
LIN Linde plc 0.35% 4 Bullish 10 3 +1.2%
DIS The Walt Disney Company 0.34% 4 Bullish 28 3 +0.1%
UBER Uber Technologies, Inc. 0.34% 4 Bullish 7 3 -2.7%
NOW ServiceNow, Inc. 0.33% 4 Bullish 2 11 +2.2%
T AT&T Inc. 0.31% 4 Bullish 29 5 +1.2%
Showing 50 of 507 holdings · Page 1 of 11
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 NVIDIA CORP NVDA 8.33% $8.0B 39,858,843 35.0 $4.2T Technology
2 MICROSOFT CORP MSFT 6.85% $6.6B 12,142,531 23.8 $2.8T Technology
3 APPLE INC AAPL 6.78% $6.5B 24,242,681 31.1 $3.6T Technology
4 AMAZON.COM INC AMZN 3.78% $3.6B 15,853,917 28.3 $2.2T Consumer Cyclical
5 BROADCOM INC AVGO 2.98% $2.9B 7,683,481 59.0 $1.5T Technology
6 META PLATFORMS INC CLASS A META 2.77% $2.7B 3,543,169 24.8 $1.5T Communication Services
7 ALPHABET INC CL A GOOGL 2.64% $2.5B 9,502,079 27.5 $3.6T Communication Services
8 TESLA INC TSLA 2.20% $2.1B 4,583,648 313.4 $1.4T Consumer Cyclical
9 ALPHABET INC CL C GOOG 2.13% $2.0B 7,628,153 27.5 $3.6T Communication Services
10 BERKSHIRE HATHAWAY INC CL B BRK-B 1.50% $1.4B 2,995,293 15.5 $1.0T Financial Services
11 JPMORGAN CHASE + CO JPM 1.43% $1.4B 4,491,793 14.0 $772.9B Financial Services
12 ELI LILLY + CO LLY 1.11% $1.1B 1,298,743 39.4 $856.6B Healthcare
13 VISA INC CLASS A SHARES V 1.00% $958.2M 2,774,546 27.8 $581.5B Financial Services
14 EXXON MOBIL CORP XOM 0.83% $797.4M 6,963,275 24.0 $665.6B Energy
15 NETFLIX INC NFLX 0.80% $761.7M 694,013 35.4 $389.1B Communication Services
16 MASTERCARD INC A MA 0.79% $759.6M 1,348,271 29.7 $442.9B Financial Services
17 ORACLE CORP ORCL 0.79% $756.7M 2,706,713 26.4 $430.3B Technology
18 WALMART INC WMT 0.77% $736.4M 7,170,126 43.3 $948.9B Consumer Defensive
19 JOHNSON + JOHNSON JNJ 0.76% $732.0M 3,933,749 21.3 $567.2B Healthcare
20 PALANTIR TECHNOLOGIES INC A PLTR 0.73% $701.2M 3,714,965 221.3 $345.3B Technology
21 ADVANCED MICRO DEVICES AMD 0.71% $680.9M 2,651,047 75.7 $328.3B Technology
22 COSTCO WHOLESALE CORP COST 0.70% $666.5M 724,490 50.5 $431.4B Consumer Defensive
23 ABBVIE INC ABBV 0.68% $653.7M 2,885,788 86.4 $362.6B Healthcare
24 HOME DEPOT INC HD 0.65% $624.1M 1,625,274 22.5 $319.3B Consumer Cyclical
25 BANK OF AMERICA CORP BAC 0.61% $585.8M 11,129,547 11.4 $344.4B Financial Services
26 PROCTER + GAMBLE CO/THE PG 0.60% $576.5M 3,825,945 21.3 $337.5B Consumer Defensive
27 UNITEDHEALTH GROUP INC UNH 0.57% $541.6M 1,479,113 20.8 $250.1B Healthcare
28 GENERAL ELECTRIC GE 0.56% $534.3M 1,732,433 35.2 $302.5B Industrials
29 CHEVRON CORP CVX 0.50% $482.2M 3,142,931 32.6 $403.4B Energy
30 INTL BUSINESS MACHINES CORP IBM 0.49% $473.4M 1,521,246 21.4 $226.8B Technology
31 CISCO SYSTEMS INC CSCO 0.49% $467.6M 6,468,423 27.7 $306.8B Technology
32 WELLS FARGO + CO WFC 0.47% $452.7M 5,232,616 11.6 $243.9B Financial Services
33 COCA COLA CO/THE KO 0.46% $441.9M 6,327,562 24.5 $321.5B Consumer Defensive
34 MICRON TECHNOLOGY INC MU 0.42% $403.7M 1,827,610 19.7 $476.0B Technology
35 CATERPILLAR INC CAT 0.42% $399.6M 765,320 35.8 $318.6B Industrials
36 SALESFORCE INC CRM 0.41% $395.2M 1,561,503 24.5 $183.1B Technology
37 GOLDMAN SACHS GROUP INC GS 0.41% $390.0M 494,608 14.8 $244.1B Financial Services
38 RTX CORP RTX 0.41% $388.9M 2,186,436 39.6 $266.0B Industrials
39 PHILIP MORRIS INTERNATIONAL PM 0.40% $379.1M 2,541,868 22.4 $253.9B Consumer Defensive
40 ABBOTT LABORATORIES ABT 0.37% $358.3M 2,842,604 28.3 $183.4B Healthcare
41 MCDONALD S CORP MCD 0.37% $355.4M 1,165,233 25.8 $220.4B Consumer Cyclical
42 MERCK + CO. INC. MRK 0.37% $353.4M 4,079,230 15.6 $282.3B Healthcare
43 THERMO FISHER SCIENTIFIC INC TMO 0.36% $342.4M 616,821 26.6 $176.2B Healthcare
44 LINDE PLC LIN 0.35% $337.5M 765,853 32.8 $226.2B Basic Materials
45 PEPSICO INC PEP 0.35% $334.2M 2,236,019 24.9 $205.2B Consumer Defensive
46 WALT DISNEY CO/THE DIS 0.34% $326.4M 2,936,440 14.5 $176.5B Communication Services
47 MORGAN STANLEY MS 0.34% $325.9M 1,981,638 15.0 $256.4B Financial Services
48 UBER TECHNOLOGIES INC UBER 0.34% $323.7M 3,407,129 15.2 $153.5B Technology
49 LAM RESEARCH CORP LRCX 0.33% $320.2M 2,066,761 46.3 $285.2B Technology
50 AMERICAN EXPRESS CO AXP 0.33% $318.7M 886,801 18.7 $203.3B Financial Services
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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms