Companies:
10,813
total market cap:
C$197.483 T
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Watchlist
Account
SPDR MSCI USA Value UCITS ETF USD Acc
ZPRU.DE
#2239
ETF rank
C$0.27 B
Marketcap
๐ช๐บ EU
Market
C$120.00
Share price
1.84%
Change (1 day)
46.89%
Change (1 year)
๐บ๐ธ U.S. ETFs
Categories
Market cap
Price history
Shares outstanding
Fees (Expense ratio)
Holdings
More
Fees (Expense ratio)
SPDR MSCI USA Value UCITS ETF USD Acc - Holdings
Etf holdings as of
May 4, 2026
Number of holdings:
125
Full holdings list
Weight %
Name
ISIN
Country
10.19%
Micron Technology Inc.
US5951121038
7.19%
Applied Materials Inc.
US0382221051
5.42%
Cisco Systems Inc.
US17275R1023
4.13%
QUALCOMM Incorporated
US7475251036
3.42%
General Motors Company
US37045V1008
2.84%
Verizon Communications Inc.
US92343V1044
2.65%
Citigroup Inc.
US1729674242
2.53%
Merck & Co. Inc.
US58933Y1055
2.44%
AT&T Inc
US00206R1023
1.84%
Pfizer Inc.
US7170811035
1.81%
Hewlett Packard Enterprise Co.
US42824C1099
1.76%
Comcast Corporation Class A
US20030N1019
1.53%
FedEx Corporation
US31428X1063
1.51%
Archer-Daniels-Midland Company
US0394831020
1.41%
TE Connectivity plc
IE000IVNQZ81
1.35%
CVS Health Corporation
US1266501006
1.35%
Walt Disney Company
US2546871060
1.31%
Lockheed Martin Corporation
US5398301094
1.23%
ConocoPhillips
US20825C1045
1.23%
Accenture Plc Class A
IE00B4BNMY34
1.15%
Adobe Inc.
US00724F1012
1.12%
Automatic Data Processing Inc.
US0530151036
1.07%
Cigna Group
US1255231003
1.05%
D.R. Horton Inc.
US23331A1097
1.03%
Kraft Heinz Company
US5007541064
1.01%
Capital One Financial Corp
US14040H1059
1.01%
ON Semiconductor Corporation
US6821891057
1.01%
PACCAR Inc
US6937181088
0.97%
Ford Motor Company
US3453708600
0.86%
Newmont Corporation
US6516391066
0.81%
Cognizant Technology Solutions Corporation Class A
US1924461023
0.81%
Target Corporation
US87612E1064
0.81%
Jabil Inc.
US4663131039
0.78%
Truist Financial Corporation
US89832Q1094
0.75%
Elevance Health Inc.
US0367521038
0.75%
PNC Financial Services Group Inc.
US6934751057
0.75%
U.S. Bancorp
US9029733048
0.74%
United Rentals Inc.
US9113631090
0.74%
Bunge Global SA
CH1300646267
0.73%
PulteGroup Inc.
US7458671010
0.68%
Zoom Communications Inc. Class A
US98980L1017
0.68%
NetApp Inc.
US64110D1046
0.65%
HP Inc.
US40434L1052
0.64%
First Solar Inc.
US3364331070
0.60%
Simon Property Group Inc.
US8288061091
0.60%
Teledyne Technologies Incorporated
US8793601050
0.57%
Lennar Corporation Class A
US5260571048
0.57%
Devon Energy Corporation
US25179M1036
0.57%
Twilio Inc. Class A
US90138F1021
0.55%
SLB Limited
AN8068571086
0.53%
F5 Inc.
US3156161024
0.52%
MetLife Inc.
US59156R1086
0.50%
Coterra Energy Inc.
US1270971039
0.46%
American International Group Inc.
US0268747849
0.45%
Public Storage
US74460D1090
0.44%
Nucor Corporation
US6703461052
0.44%
EMCOR Group Inc.
US29084Q1004
0.43%
Sempra
US8168511090
0.42%
State Street Corporation
US8574771031
0.41%
Diamondback Energy Inc.
US25278X1090
0.41%
M&T Bank Corporation
US55261F1049
0.40%
Expedia Group Inc.
US30212P3038
0.39%
Dominion Energy Inc
US25746U1097
0.39%
Centene Corporation
US15135B1017
0.38%
Flex Ltd
SG9999000020
0.38%
Citizens Financial Group Inc.
US1746101054
0.37%
PG&E Corporation
US69331C1080
0.35%
Aptiv PLC
JE00BTDN8H13
0.35%
NVR Inc.
US62944T1051
0.34%
Biogen Inc.
US09062X1037
0.33%
Textron Inc.
US8832031012
0.32%
Snap-on Incorporated
US8330341012
0.31%
Synchrony Financial
US87165B1035
0.31%
Arch Capital Group Ltd.
BMG0450A1053
0.31%
Fifth Third Bancorp
US3167731005
0.31%
Prudential Financial Inc.
US7443201022
0.30%
Delta Air Lines Inc.
US2473617023
0.30%
Fiserv Inc.
US3377381088
0.30%
Halliburton Company
US4062161017
0.30%
Royalty Pharma Plc Class A
GB00BMVP7Y09
0.29%
Regions Financial Corporation
US7591EP1005
0.29%
United Therapeutics Corporation
US91307C1027
0.28%
Edison International
US2810201077
0.28%
Global Payments Inc.
US37940X1028
0.28%
Huntington Bancshares Incorporated
US4461501045
0.28%
Best Buy Co. Inc.
US0865161014
0.25%
Gen Digital Inc.
US6687711084
0.24%
W. P. Carey Inc.
US92936U1097
0.24%
Principal Financial Group Inc.
US74251V1026
0.24%
Everest Group Ltd.
BMG3223R1088
0.23%
Atmos Energy Corporation
US0495601058
0.23%
Hartford Insurance Group Inc.
US4165151048
0.22%
VICI Properties Inc
US9256521090
0.22%
SS&C Technologies Holdings Inc.
US78467J1007
0.21%
Consolidated Edison Inc.
US2091151041
0.21%
Tyson Foods Inc. Class A
US9024941034
0.20%
Loews Corporation
US5404241086
0.20%
KeyCorp
US4932671088
0.19%
LyondellBasell Industries NV
NL0009434992
0.18%
T. Rowe Price Group Inc.
US74144T1088
0.18%
Evergy Inc.
US30034W1062
0.17%
Fortive Corp.
US34959J1088
0.17%
CF Industries Holdings Inc.
US1252691001
0.16%
Fox Corporation Class A
US35137L1052
0.15%
Omnicom Group Inc
US6819191064
0.15%
United Airlines Holdings Inc.
US9100471096
0.13%
Builders FirstSource Inc.
US12008R1077
0.13%
Deckers Outdoor Corporation
US2435371073
0.13%
Universal Health Services Inc. Class B
US9139031002
0.12%
Mid-America Apartment Communities Inc.
US59522J1034
0.12%
Zimmer Biomet Holdings Inc.
US98956P1021
0.11%
Fidelity National Financial Inc. - FNF Group
US31620R3030
0.11%
Charter Communications Inc. Class A
US16119P1084
0.11%
lululemon athletica inc.
US5500211090
0.11%
Fox Corporation Class B
US35137L2043
0.10%
Gaming and Leisure Properties Inc.
US36467J1088
0.09%
Reliance Inc.
US7595091023
0.08%
Smurfit Westrock PLC
IE00028FXN24
0.08%
Corebridge Financial Inc.
US21871X1090
0.07%
International Paper Company
US4601461035
0.07%
Amcor PLC
JE00BV7DQ550
0.06%
Hormel Foods Corporation
US4404521001
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