SPDR catalogue

ETF money flows

Latest complete NAV date 2026-09-15
Total inflow +$4.6B
Total outflow -$3.1B
Net flow +$1.5B
Assets covered $2.1T 119 of 119 ETFs with flow data

Secondary category

1D category flows

Clear category
Category ETFs Assets Inflow Outflow Flow Prior Signal % assets
Broad 5 $47.4B $0.00 $0.00 $0.00 $0.00 - 0.00%
Commodities / Real Assets 9 $188.2B +$444.9M $0.00 +$444.9M +$124.7M 320 +0.24%
Core 7 $1.1T +$3.0B -$2.4B +$609.0M +$2.2B - +0.06%
Developed Region/Country 2 $5.0B $0.00 $0.00 $0.00 $0.00 - 0.00%
Emerging Markets 5 $19.0B $0.00 $0.00 $0.00 $0.00 - 0.00%
High Yield / Senior Loans 4 $23.4B +$56.1M $0.00 +$56.1M +$76.7M - +0.24%
Hybrids 2 $6.2B $0.00 $0.00 $0.00 +$20.3M - 0.00%
Income 6 $30.9B +$2.37M $0.00 +$2.37M $0.00 2 +0.01%
Industry (Modified Equal Weighted) 20 $40.5B +$252.9M -$120.3M +$132.6M +$263.8M - +0.33%
International 6 $5.1B $0.00 $0.00 $0.00 $0.00 - 0.00%
Multi-Factor: Focus Factor 3 $967.6M $0.00 $0.00 $0.00 $0.00 - 0.00%
Multi-Factor: StrategicFactors 4 $2.8B $0.00 $0.00 $0.00 $0.00 - 0.00%
Multi-Sector 1 $9.9B $0.00 $0.00 $0.00 $0.00 - 0.00%
Municipal 3 $10.0B +$43.0M $0.00 +$43.0M +$62.6M - +0.43%
New Economies: 21st Century Sectors 6 $3.2B +$4.61M $0.00 +$4.61M -$862.02K 5 +0.15%
Sector 11 $387.2B +$487.7M -$555.3M -$67.6M -$88.6M - -0.02%
Single Factor 4 $2.4B +$5.45M $0.00 +$5.45M $0.00 5 +0.23%
Style 6 $105.5B +$52.3M $0.00 +$52.3M +$153.9M - +0.05%
US Government 9 $83.8B +$146.9M -$2.48M +$144.4M +$398.1M - +0.17%
US Investment Grade Corporates 5 $28.7B +$114.4M $0.00 +$114.4M -$31.0M 114 +0.40%
US Mortgage 1 $7.0B $0.00 $0.00 $0.00 $0.00 - 0.00%

Industry (Modified Equal Weighted)

ETF detail

20 rows
Ticker Fund Category Assets Flow Prior Signal Return
KBE S&P Bank US Equities, Industry (Modified Equal Weighted) $1.6B +$23.8M +$54.5M - -0.25%
KCE S&P Capital Markets US Equities, Industry (Modified Equal Weighted) $446.0M $0.00 $0.00 - -2.05%
KIE S&P Insurance US Equities, Industry (Modified Equal Weighted) $631.0M -$15.8M -$15.8M - -0.46%
KRE S&P Regional Banking US Equities, Industry (Modified Equal Weighted) $4.3B +$111.1M -$25.9M 111 -0.11%
XAR S&P Aerospace & Defense US Equities, Industry (Modified Equal Weighted) $5.4B $0.00 $0.00 - -0.54%
XBI S&P Biotech US Equities, Industry (Modified Equal Weighted) $10.5B -$88.6M +$370.3M - -2.26%
XES S&P Oil & Gas Equipment & Services US Equities, Industry (Modified Equal Weighted) $395.7M -$5.97M $0.00 - +2.84%
XHB S&P Homebuilders US Equities, Industry (Modified Equal Weighted) $1.3B +$24.4M -$19.6M 24 -0.53%
XHE S&P Health Care Equipment US Equities, Industry (Modified Equal Weighted) $168.7M $0.00 -$2.29M - -0.29%
XHS S&P Health Care Services US Equities, Industry (Modified Equal Weighted) $224.9M $0.00 $0.00 - -0.65%
XITK FactSet Innovative Technology US Equities, Industry (Modified Equal Weighted) $65.2M $0.00 $0.00 - -0.57%
XME S&P Metals & Mining US Equities, Industry (Modified Equal Weighted) $4.5B +$5.47M -$38.6M 5 -0.66%
XNTK NYSE Technology US Equities, Industry (Modified Equal Weighted) $1.9B $0.00 $0.00 - -0.09%
XOP S&P Oil & Gas Exploration & Production US Equities, Industry (Modified Equal Weighted) $4.3B +$29.9M -$19.4M 30 +3.16%
XPH S&P Pharmaceuticals US Equities, Industry (Modified Equal Weighted) $570.3M -$10.0M $0.00 - -1.78%
XRT S&P Retail US Equities, Industry (Modified Equal Weighted) $324.5M +$58.2M -$21.4M 58 -2.70%
XSD S&P Semiconductor US Equities, Industry (Modified Equal Weighted) $2.6B $0.00 -$11.9M - +1.32%
XSW S&P Software & Services US Equities, Industry (Modified Equal Weighted) $493.5M $0.00 $0.00 - -1.27%
XTL S&P Telecom US Equities, Industry (Modified Equal Weighted) $546.6M $0.00 -$5.13M - +0.55%
XTN S&P Transportation US Equities, Industry (Modified Equal Weighted) $339.2M $0.00 -$1.03M - -0.67%