SPDR catalogue

ETF money flows

Latest complete NAV date 2026-09-15
Total inflow +$7.2B
Total outflow -$3.4B
Net flow +$3.9B
Assets covered $2.1T 119 of 119 ETFs with flow data

Primary category

1W category flows

Category ETFs Assets Inflow Outflow Flow Prior Signal % assets
Commodities / Real Assets 9 $188.2B +$497.7M -$8.28M +$489.4M +$787.0M - +0.26%
Fixed Income 31 $174.2B +$1,000.0M -$622.2M +$377.8M +$1.6B - +0.22%
International Equities 12 $71.5B +$4.76M $0.00 +$4.76M -$6.99M 5 +0.01%
Smart Beta 17 $37.1B +$31.4M -$53.9M -$22.6M -$14.1M - -0.06%
US Equities 50 $1.6T +$5.7B -$2.7B +$3.0B -$5.1B 3,028 +0.19%

All covered ETFs

ETF detail

119 rows
Ticker Fund Category Assets Flow Prior Signal Return
BIL Bloomberg 1–3 Month T-Bill Fixed Income, US Government $47.6B +$653.3M +$741.5M - +0.06%
BILS Bloomberg 3–12 Month T-Bill Fixed Income, US Government $3.9B -$9.92M -$4.96M - +0.01%
BWX Bloomberg International Treasury Bond Fixed Income, International $1.3B +$13.1M +$6.57M 6 -1.79%
BWZ Bloomberg Short Term InternationalTreasury Bond Fixed Income, International $325.9M $0.00 +$35.5M - -1.08%
CERY Bloomberg Enhanced Commodity Strategy No K-1 Commodities / Real Assets, Commodities / Real Assets $1.2B +$9.16M +$3.51M 6 +1.92%
CNRG S&P Kensho Clean Power US Equities, New Economies: 21st Century Sectors $183.4M -$862.02K -$878.33K - -7.34%
CWB Bloomberg Convertible Securities Fixed Income, Hybrids $5.5B +$20.3M $0.00 20 -3.53%
CWI MSCI ACWI ex-US International Equities, Broad $2.8B $0.00 $0.00 - -3.14%
DGT Global Dow International Equities, Broad $637.6M +$4.76M $0.00 5 -1.59%
DIA Dow Jones Industrial Average US Equities, Core $45.4B +$340.5M +$402.3M - -1.25%
DWX S&P International Dividend Smart Beta, Income $525.9M +$2.37M $0.00 2 -1.17%
EBND Bloomberg Emerging Markets Local Bond Fixed Income, International $2.3B $0.00 +$4.23M - -1.59%
EDIV S&P Emerging Markets Dividend Smart Beta, Income $1.2B -$8.42M $0.00 - -1.40%
EMHC Bloomberg Emerging Markets USD Bond Fixed Income, International $309.9M $0.00 $0.00 - -1.44%
EWX S&P Emerging Markets Small Cap International Equities, Emerging Markets $660.9M $0.00 -$7.32M - -4.08%
FEZ EURO STOXX 50 International Equities, Developed Region/Country $4.3B $0.00 $0.00 - -3.49%
FITE S&P Kensho Future Security US Equities, New Economies: 21st Century Sectors $148.9M $0.00 $0.00 - +2.26%
FLRN Bloomberg Investment Grade Floating Rate Fixed Income, US Investment Grade Corporates $3.0B +$30.8M +$6.14M 25 +0.08%
GII S&P Global Infrastructure Commodities / Real Assets, Commodities / Real Assets $925.1M $0.00 +$14.7M - -3.37%
GLD ® Gold Shares Commodities / Real Assets, Commodities / Real Assets $145.0B -$8.28M +$551.8M - -2.35%
GLDM ® Gold MiniShares® Trust Commodities / Real Assets, Commodities / Real Assets $31.6B +$368.6M +$148.6M 220 -2.34%
GMF S&P Emerging Asia Pacific International Equities, Emerging Markets $422.7M $0.00 $0.00 - -3.64%
GNR S&P Global Natural Resources Commodities / Real Assets, Commodities / Real Assets $5.3B +$84.5M +$67.4M 17 -1.23%
GWX S&P International Small Cap International Equities, Broad $921.0M $0.00 $0.00 - -2.30%
GXC S&P China International Equities, Emerging Markets $464.1M $0.00 +$9.05M - -2.43%
HAIL S&P Kensho Smart Mobility US Equities, New Economies: 21st Century Sectors $18.0M $0.00 $0.00 - -4.36%
HYMB Nuveen ICE High Yield Municipal Bond Fixed Income, Municipal $3.5B +$105.8M +$48.8M 57 -1.68%
IBND Bloomberg International Corporate Bond Fixed Income, International $451.2M $0.00 $0.00 - -1.81%
JNK Bloomberg High Yield Bond Fixed Income, High Yield / Senior Loans $6.7B -$57.3M -$76.2M - -0.94%
KBE S&P Bank US Equities, Industry (Modified Equal Weighted) $1.6B +$47.7M -$27.4M 48 -0.63%
KCE S&P Capital Markets US Equities, Industry (Modified Equal Weighted) $446.0M -$4.08M $0.00 - -5.27%
KIE S&P Insurance US Equities, Industry (Modified Equal Weighted) $631.0M -$25.5M +$44.7M - +0.92%
KOMP S&P Kensho New Economies Composite US Equities, New Economies: 21st Century Sectors $2.6B +$8.61M +$2.67M 6 -2.74%
KRE S&P Regional Banking US Equities, Industry (Modified Equal Weighted) $4.3B +$129.2M +$17.9M 111 -0.35%
LGLV US Large Cap Low Volatility Index Smart Beta, Single Factor $1.2B +$7.27M +$1.86M 5 -1.12%
LVLN S&P Leveraged Loan Fixed Income, High Yield / Senior Loans $49.5M $0.00 $0.00 - +0.16%
MDY S&P MIDCAP 400 US Equities, Core $26.2B +$334.7M +$151.6M 183 -2.51%
MDYG S&P 400 Mid Cap Growth US Equities, Style $2.8B $0.00 $0.00 - -3.09%
MDYV S&P 400 Mid Cap Value US Equities, Style $2.8B +$4.62M +$9.46M - -1.91%
MMTM S&P 1500 Momentum Tilt Smart Beta, Single Factor $159.3M $0.00 $0.00 - -1.66%
NANR S&P North American Natural Resources Commodities / Real Assets, Commodities / Real Assets $848.4M $0.00 $0.00 - -0.97%
ONEO Russell 1000 Momentum Focus Smart Beta, Multi-Factor: Focus Factor $30.4M $0.00 $0.00 - -1.27%
ONEV Russell 1000 Low Volatility Focus Smart Beta, Multi-Factor: Focus Factor $280.5M $0.00 -$16.2M - -0.63%
ONEY Russell 1000 Yield Focus Smart Beta, Multi-Factor: Focus Factor $656.7M $0.00 -$9.34M - -0.70%
PSK ICE Preferred Securities Fixed Income, Hybrids $659.6M $0.00 $0.00 - -1.37%
QEFA MSCI EAFE StrategicFactors Smart Beta, Multi-Factor: StrategicFactors $1.0B -$30.2M $0.00 - -1.82%
QEMM MSCI Emerging Markets StrategicFactors Smart Beta, Multi-Factor: StrategicFactors $60.3M $0.00 $0.00 - -3.39%
QUS MSCI USA StrategicFactors Smart Beta, Multi-Factor: StrategicFactors $1.6B $0.00 +$7.71M - -0.42%
QWLD MSCI World StrategicFactors Smart Beta, Multi-Factor: StrategicFactors $175.6M $0.00 $0.00 - -0.91%
ROKT S&P Kensho Final Frontiers US Equities, New Economies: 21st Century Sectors $181.1M -$1.07M -$4.33M - -3.01%
RWO Dow Jones Global Real Estate Commodities / Real Assets, Commodities / Real Assets $1.2B +$2.44M -$7.45M 2 -2.24%
RWR Dow Jones REIT Commodities / Real Assets, Commodities / Real Assets $1.8B +$33.0M +$8.35M 25 -1.88%
RWX Dow Jones International Real Estate Commodities / Real Assets, Commodities / Real Assets $255.4M $0.00 $0.00 - -2.81%
SDY S&P Dividend Smart Beta, Income $21.3B -$15.3M -$15.6M - -0.82%
SHM Nuveen ICE Short Term Municipal Bond Fixed Income, Municipal $3.5B +$9.44M +$14.3M - -0.58%
SIMS S&P Kensho Intelligent Structures US Equities, New Economies: 21st Century Sectors $8.13M $0.00 $0.00 - -3.07%
SJNK Bloomberg Short Term High Yield Bond Fixed Income, High Yield / Senior Loans $4.7B -$22.1M -$37.1M - -0.64%
SLYG S&P 600 Small Cap Growth US Equities, Style $4.8B -$54.01K $0.00 - -3.50%
SLYV S&P 600 Small Cap Value US Equities, Style $4.9B +$32.1M -$5.49M 32 -1.60%
SMLV US Small Cap Low Volatility Index Smart Beta, Single Factor $252.0M $0.00 $0.00 - -1.04%
SPAB Portfolio Aggregate Bond Fixed Income, Multi-Sector $9.9B -$138.6M +$12.5M - -1.11%
SPBO Portfolio Corporate Bond Fixed Income, US Investment Grade Corporates $2.2B +$11.2M +$42.4M - -1.02%
SPDG Portfolio S&P Sector Neutral Dividend Smart Beta, Income $13.0M $0.00 $0.00 - -0.12%
SPDW Portfolio Developed World ex-US International Equities, Broad $41.3B $0.00 $0.00 - -2.89%
SPEM Portfolio Emerging Markets International Equities, Emerging Markets $17.4B $0.00 $0.00 - -3.29%
SPEU Portfolio Europe International Equities, Developed Region/Country $715.2M $0.00 $0.00 - -3.10%
SPGM Portfolio MSCI Global Stock Market International Equities, Broad $1.7B $0.00 -$8.72M - -1.94%
SPHY Portfolio High Yield Bond Fixed Income, High Yield / Senior Loans $12.0B -$18.3M +$129.6M - -0.88%
SPIB Portfolio Intermediate Term Corporate Bond Fixed Income, US Investment Grade Corporates $11.3B -$235.5M +$6.41M - -0.87%
SPIP Portfolio TIPS Fixed Income, US Government $1.0B -$4.98M +$5.01M - -1.19%
SPLB Portfolio Long Term Corporate Bond Fixed Income, US Investment Grade Corporates $1.2B +$4.14M $0.00 4 -1.33%
SPMB Portfolio Mortgage Backed Bond Fixed Income, US Mortgage $7.0B +$10.8M $0.00 11 -1.45%
SPMD Portfolio S&P 400 Mid Cap US Equities, Core $18.2B +$96.7M +$13.1M 84 -2.52%
SPSB Portfolio Short Term Corporate Bond Fixed Income, US Investment Grade Corporates $11.1B -$115.5M +$739.3M - -0.43%
SPSM Portfolio S&P 600 Small Cap US Equities, Core $16.1B +$137.5M -$395.9M 137 -2.52%
SPTB Portfolio Treasury Fixed Income, US Government $472.5M $0.00 $0.00 - -1.01%
SPTI Portfolio Intermediate Term Treasury Fixed Income, US Government $10.5B $0.00 -$55.8M - -1.12%
SPTL Portfolio Long Term Treasury Fixed Income, US Government $10.9B +$14.8M $0.00 15 -1.79%
SPTM Portfolio S&P 1500 Composite Stock Market US Equities, Core $13.9B -$41.4M -$14.0M - -1.20%
SPTS Portfolio Short Term Treasury Fixed Income, US Government $7.4B +$126.4M +$31.7M 95 -0.41%
SPTU Portfolio Ultra Short T-Bill Fixed Income, US Government $14.3M $0.00 +$500.48K - +0.04%
SPY S&P 500 US Equities, Core $797.1B -$84.0M -$3.2B - -1.10%
SPYD Portfolio S&P 500 High Dividend Smart Beta, Income $7.5B +$21.7M +$15.0M 7 -1.40%
SPYG Portfolio S&P 500 Growth US Equities, Style $53.8B +$287.5M -$146.3M 287 -1.61%
SPYM Portfolio S&P 500 US Equities, Core $168.9B +$3.1B -$1.8B 3,126 -1.37%
SPYV Portfolio S&P 500 Value US Equities, Style $36.4B +$12.6M +$70.0M - -0.50%
TFI Nuveen ICE Municipal Bond Fixed Income, Municipal $3.0B -$8.74M -$4.43M - -1.45%
TIPX Bloomberg 1–10 Year TIPS Fixed Income, US Government $2.0B -$11.1M -$7.44M - -0.97%
VLU S&P 1500 Value Tilt Smart Beta, Single Factor $762.7M $0.00 +$2.48M - -0.55%
WDIV S&P Global Dividend Smart Beta, Income $284.6M $0.00 $0.00 - -1.70%
WIP FTSE International Government Inflation-Protected Bond Fixed Income, International $467.3M $0.00 $0.00 - -1.79%
XAR S&P Aerospace & Defense US Equities, Industry (Modified Equal Weighted) $5.4B -$12.3M -$81.9M - -4.60%
XBI S&P Biotech US Equities, Industry (Modified Equal Weighted) $10.5B -$284.8M -$29.9M - -4.87%
XCNY S&P Emerging Markets ex-China International Equities, Emerging Markets $9.92M $0.00 $0.00 - -3.50%
XES S&P Oil & Gas Equipment & Services US Equities, Industry (Modified Equal Weighted) $395.7M -$5.97M +$12.3M - -3.05%
XHB S&P Homebuilders US Equities, Industry (Modified Equal Weighted) $1.3B -$44.7M +$35.5M - -2.97%
XHE S&P Health Care Equipment US Equities, Industry (Modified Equal Weighted) $168.7M -$4.54M $0.00 - -1.31%
XHS S&P Health Care Services US Equities, Industry (Modified Equal Weighted) $224.9M $0.00 +$5.43M - +2.00%
XITK FactSet Innovative Technology US Equities, Industry (Modified Equal Weighted) $65.2M $0.00 -$1.96M - -2.04%
XLB Materials Select Sector US Equities, Sector $8.3B -$94.4M -$49.4M - -2.31%
XLC Communication Services Select Sector US Equities, Sector $22.9B -$146.7M +$56.2M - +2.20%
XLE Energy Select Sector US Equities, Sector $43.0B -$302.3M +$211.6M - +1.85%
XLF Financial Select Sector US Equities, Sector $55.1B +$811.1M +$504.1M 307 -0.77%
XLI Industrial Select Sector US Equities, Sector $30.4B -$347.4M -$271.4M - -3.18%
XLK Technology Select Sector US Equities, Sector $119.2B -$560.5M +$30.3M - -2.20%
XLP Consumer Staples Select Sector US Equities, Sector $14.3B -$60.9M +$162.1M - -0.32%
XLRE Real Estate Select Sector US Equities, Sector $7.9B -$122.7M -$15.4M - -1.82%
XLU Utilities Select Sector US Equities, Sector $21.5B +$98.3M -$4.72M 98 -4.88%
XLV Health Care Select Sector US Equities, Sector $43.6B +$56.6M +$19.0M 38 +0.33%
XLY Consumer Discretionary Select Sector US Equities, Sector $21.0B -$364.8M -$860.8M - -2.78%
XME S&P Metals & Mining US Equities, Industry (Modified Equal Weighted) $4.5B -$15.7M -$41.9M - -8.70%
XNTK NYSE Technology US Equities, Industry (Modified Equal Weighted) $1.9B $0.00 $0.00 - -2.40%
XOP S&P Oil & Gas Exploration & Production US Equities, Industry (Modified Equal Weighted) $4.3B +$137.9M -$57.2M 138 +3.01%
XPH S&P Pharmaceuticals US Equities, Industry (Modified Equal Weighted) $570.3M -$13.5M +$7.05M - -5.30%
XRT S&P Retail US Equities, Industry (Modified Equal Weighted) $324.5M -$119.3M +$96.9M - -2.91%
XSD S&P Semiconductor US Equities, Industry (Modified Equal Weighted) $2.6B +$37.9M -$11.9M 38 -2.99%
XSW S&P Software & Services US Equities, Industry (Modified Equal Weighted) $493.5M -$5.82M +$10.1M - +1.76%
XTL S&P Telecom US Equities, Industry (Modified Equal Weighted) $546.6M -$5.13M -$31.3M - -2.17%
XTN S&P Transportation US Equities, Industry (Modified Equal Weighted) $339.2M -$3.08M -$3.10M - -1.49%