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10,852
total market cap:
HK$1174.185 T
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Watchlist
Account
SPDR S&P 500 Low Volatility UCITS ETF
SPY1.DE
#2486
ETF rank
HK$0.98 B
Marketcap
๐ช๐บ EU
Market
HK$649.37
Share price
0.58%
Change (1 day)
0.79%
Change (1 year)
๐บ๐ธ U.S. ETFs
๐ Low volatility ETFs
Categories
Market cap
Price history
Shares outstanding
Cost to borrow
Fees (Expense ratio)
Holdings
More
Cost to borrow
Fees (Expense ratio)
SPDR S&P 500 Low Volatility UCITS ETF - Holdings
Etf holdings as of
June 3, 2026
Number of holdings:
104
Full holdings list
Weight %
Name
ISIN
Country
1.33%
FirstEnergy Corp.
US3379321074
1.32%
Loews Corporation
US5404241086
1.29%
Berkshire Hathaway Inc. Class B
US0846707026
1.24%
Duke Energy Corporation
US26441C2044
1.24%
WEC Energy Group Inc
US92939U1060
1.23%
Ameren Corporation
US0236081024
1.23%
Alliant Energy Corporation
US0188021085
1.22%
DTE Energy Company
US2333311072
1.22%
CenterPoint Energy Inc.
US15189T1079
1.21%
Evergy Inc.
US30034W1062
1.20%
Linde plc
IE000S9YS762
1.20%
Pinnacle West Capital Corp
US7234841010
1.19%
Coca-Cola Company
US1912161007
1.18%
Regency Centers Corporation
US7588491032
1.18%
Realty Income Corporation
US7561091049
1.17%
TJX Companies Inc
US8725401090
1.16%
CMS Energy Corporation
US1258961002
1.15%
Johnson & Johnson
US4781601046
1.15%
VICI Properties Inc
US9256521090
1.15%
McDonald's Corporation
US5801351017
1.15%
Southern Company
US8425871071
1.14%
Atmos Energy Corporation
US0495601058
1.13%
Aflac Incorporated
US0010551028
1.13%
Republic Services Inc.
US7607591002
1.12%
Dominion Energy Inc
US25746U1097
1.10%
Federal Realty Investment Trust
US3137451015
1.10%
PPL Corporation
US69351T1060
1.08%
Cintas Corporation
US1729081059
1.07%
Consolidated Edison Inc.
US2091151041
1.07%
Chubb Limited
CH0044328745
1.06%
Exelon Corporation
US30161N1019
1.06%
American Electric Power Company Inc.
US0255371017
1.05%
Procter & Gamble Company
US7427181091
1.05%
Bank of New York Mellon Corp
US0640581007
1.05%
Waste Management Inc.
US94106L1098
1.04%
Costco Wholesale Corporation
US22160K1051
1.03%
NiSource Inc
US65473P1057
1.03%
Mid-America Apartment Communities Inc.
US59522J1034
1.03%
Kimco Realty Corporation
US49446R1095
1.02%
Camden Property Trust
US1331311027
1.01%
Travelers Companies Inc.
US89417E1091
1.01%
Public Service Enterprise Group Inc
US7445731067
1.01%
Monster Beverage Corporation
US61174X1090
1.00%
Hartford Insurance Group Inc.
US4165151048
0.99%
Medtronic Plc
IE00BTN1Y115
0.99%
Stryker Corporation
US8636671013
0.98%
Entergy Corporation
US29364G1031
0.98%
Xcel Energy Inc.
US98389B1008
0.98%
UDR Inc.
US9026531049
0.97%
Simon Property Group Inc.
US8288061091
0.97%
Cincinnati Financial Corporation
US1720621010
0.96%
Sempra
US8168511090
0.96%
Kinder Morgan Inc Class P
US49456B1017
0.96%
Automatic Data Processing Inc.
US0530151036
0.96%
Ecolab Inc.
US2788651006
0.95%
Equity Residential
US29476L1070
0.94%
Invitation Homes Inc.
US46187W1071
0.94%
AvalonBay Communities Inc.
US0534841012
0.94%
Essex Property Trust Inc.
US2971781057
0.94%
W. R. Berkley Corporation
US0844231029
0.94%
Norfolk Southern Corporation
US6558441084
0.93%
Ventas Inc.
US92276F1003
0.93%
Honeywell International Inc.
US4385161066
0.93%
Chevron Corporation
US1667641005
0.93%
Veralto Corporation
US92338C1036
0.92%
Snap-on Incorporated
US8330341012
0.92%
Colgate-Palmolive Company
US1941621039
0.92%
Illinois Tool Works Inc.
US4523081093
0.91%
Globe Life Inc.
US37959E1029
0.90%
General Dynamics Corporation
US3695501086
0.89%
Prologis Inc.
US74340W1036
0.89%
Nordson Corporation
US6556631025
0.89%
Bank of America Corp
US0605051046
0.89%
JPMorgan Chase & Co.
US46625H1005
0.89%
Union Pacific Corporation
US9078181081
0.88%
CME Group Inc. Class A
US12572Q1058
0.88%
Altria Group Inc.
US02209S1033
0.88%
Yum! Brands Inc.
US9884981013
0.87%
PNC Financial Services Group Inc.
US6934751057
0.87%
Welltower Inc.
US95040Q1040
0.87%
Church & Dwight Co. Inc.
US1713401024
0.87%
Visa Inc. Class A
US92826C8394
0.87%
Principal Financial Group Inc.
US74251V1026
0.86%
M&T Bank Corporation
US55261F1049
0.86%
Motorola Solutions Inc.
US6200763075
0.86%
Mastercard Incorporated Class A
US57636Q1040
0.86%
Mondelez International Inc. Class A
US6092071058
0.85%
AMETEK Inc.
US0311001004
0.85%
Public Storage
US74460D1090
0.84%
Williams Companies Inc.
US9694571004
0.84%
Arch Capital Group Ltd.
BMG0450A1053
0.84%
PepsiCo Inc.
US7134481081
0.83%
U.S. Bancorp
US9029733048
0.83%
Digital Realty Trust Inc.
US2538681030
0.83%
Intercontinental Exchange Inc.
US45866F1049
0.82%
AT&T Inc
US00206R1023
0.81%
O'Reilly Automotive Inc.
US67103H1077
0.80%
ResMed Inc.
US7611521078
0.80%
Walmart Inc.
US9311421039
0.74%
Cboe Global Markets Inc
US12503M1080
Euro
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