SHE

SPDR SSGA Gender Diversity Index ETF

Down$73.65
$-0.15
(-0.2%)
As of 8:00:00 PM EDT | 10/16/19  |  Market Closed

SHE Trading Data

Open

$73.75

Low Price

$73.65

High Price

$73.87

Previous Last Price

$73.8

Bid Size

$0 X 0

Ask Size

$0 X 0

SHE Portfolio Data

AUM

$271,141,500

Shares

3,675

PE Ratio

17.83

Price / Book Ratio

2.94

Expense Ratio

0.2

Net Asset Value

$73.78

Volume

Volume

3,400

Avg. Volume (YDT)

18,083

Dollar Volume

$172,179

Weekly Avg. Volume

17,360

Monthly Avg. Volume

15,580

Quarterly Avg. Volume

31,245

SHE Fund Description

The SPDR SSGA Gender Diversity Index ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the SSGA Gender Diversity Index.

SHE Chart

SHE Summary

Fund Family

State Street Global Advisors

Tracks This Index

SPDR SSGA Gender Diversity Index ETF

Inception Date

2016-03-08

Asset Class

Portfolio-Multi Asset

Asset Class Size

Managed ETFs

SHE Classification

Region (General)

North America

Region (Specific)

US

Sector

Equity Index

Leveraged Family

SHE Holdings

Top 10 Holdings

Visa Inc. Class A (V)
5.12%
Home Depot Inc. (HD)
5.07%
Johnson & Johnson (JNJ)
4.74%
Wells Fargo & Company (WFC)
4.65%
Texas Instruments Incorporated (TXN)
4.26%
PayPal Holdings Inc (PYPL)
4.16%
Walt Disney Company (DIS)
3.83%
Coca-Cola Company (KO)
2.57%
Intuit Inc. (INTU)
2.44%
U.S. Bancorp (USB)
2.32%

Total SHE Holdings

Total Holdings: 181

Visa Inc. Class A (V)
5.12%
Home Depot Inc. (HD)
5.07%
Johnson & Johnson (JNJ)
4.74%
Wells Fargo & Company (WFC)
4.65%
Texas Instruments Incorporated (TXN)
4.26%
PayPal Holdings Inc (PYPL)
4.16%
Walt Disney Company (DIS)
3.83%
Coca-Cola Company (KO)
2.57%
Intuit Inc. (INTU)
2.44%
U.S. Bancorp (USB)
2.32%
Gilead Sciences Inc. (GILD)
2.3%
PepsiCo Inc. (PEP)
2.18%
Netflix Inc. (NFLX)
2.15%
Starbucks Corporation (SBUX)
2.05%
3M Company (MMM)
1.93%
Zoetis Inc. Class A (ZTS)
1.73%
Charter Communications Inc. Class A (CHTR)
1.65%
TJX Companies Inc (TJX)
1.4%
Northrop Grumman Corporation (NOC)
1.29%
Biogen Inc. (BIIB)
1.22%
Raytheon Company (RTN)
1.17%
MetLife Inc. (MET)
1.16%
Phillips 66 (PSX)
1.13%
Illinois Tool Works Inc. (ITW)
1.07%
Paychex Inc. (PAYX)
1.06%
Waste Management Inc. (WM)
1.04%
Marathon Petroleum Corporation (MPC)
0.98%
Valero Energy Corporation (VLO)
0.85%
Sempra Energy (SRE)
0.8%
DuPont de Nemours Inc. (DD)
0.78%
Occidental Petroleum Corporation (OXY)
0.72%
McKesson Corporation (MCK)
0.71%
IDEXX Laboratories Inc. (IDXX)
0.67%
Discover Financial Services (DFS)
0.65%
Public Service Enterprise Group Inc (PEG)
0.64%
CDW Corp. (CDW)
0.63%
Alexion Pharmaceuticals Inc. (ALXN)
0.63%
Southwest Airlines Co. (LUV)
0.61%
Consolidated Edison Inc. (ED)
0.61%
Realty Income Corporation (O)
0.6%
Hartford Financial Services Group Inc. (HIG)
0.57%
Dow Inc. (DOW)
0.56%
Kimberly-Clark Corporation (KMB)
0.53%
Northern Trust Corporation (NTRS)
0.52%
Pioneer Natural Resources Company (PXD)
0.52%
Lululemon Athletica Inc (LULU)
0.48%
Estee Lauder Companies Inc. Class A (EL)
0.47%
Twilio Inc. Class A (TWLO)
0.47%
Edison International (EIX)
0.47%
Alexandria Real Estate Equities Inc. (ARE)
0.43%
Okta Inc. Class A (OKTA)
0.42%
Principal Financial Group Inc. (PFG)
0.41%
Ball Corporation (BLL)
0.38%
Franklin Resources Inc. (BEN)
0.38%
GoDaddy Inc. Class A (GDDY)
0.38%
General Mills Inc. (GIS)
0.36%
Western Union Company (WU)
0.36%
W.W. Grainger Inc. (GWW)
0.36%
Booz Allen Hamilton Holding Corporation Class A (BAH)
0.35%
Monster Beverage Corporation (MNST)
0.34%
Sun Communities Inc. (SUI)
0.34%
Yum China Holdings Inc. (YUMC)
0.33%
Annaly Capital Management Inc. (NLY)
0.32%
Comerica Incorporated (CMA)
0.32%
Amdocs Limited (DOX)
0.32%
Corteva Inc (CTVA)
0.31%
IAC/InterActiveCorp. (IAC)
0.31%
Host Hotels & Resorts Inc. (HST)
0.3%
Equity LifeStyle Properties Inc. (ELS)
0.3%
SVB Financial Group (SIVB)
0.29%
Ulta Beauty Inc (ULTA)
0.28%
Kansas City Southern (KSU)
0.28%
Universal Display Corporation (OLED)
0.28%
Zendesk Inc. (ZEN)
0.27%
Camden Property Trust (CPT)
0.26%
Vistra Energy Corp. (VST)
0.26%
Alliant Energy Corp (LNT)
0.25%
Ionis Pharmaceuticals Inc. (IONS)
0.25%
Teledyne Technologies Incorporated (TDY)
0.24%
Rollins Inc. (ROL)
0.24%
Celanese Corporation (CE)
0.24%
Kellogg Company (K)
0.24%
CBS Corporation Class B (CBS)
0.23%
Santander Consumer USA Holdings Inc. (SC)
0.23%
Noble Energy Inc. (NBL)
0.23%
National Retail Properties Inc. (NNN)
0.23%
McCormick & Company Incorporated (MKC)
0.22%
Alliance Data Systems Corporation (ADS)
0.22%
CenturyLink Inc. (CTL)
0.22%
Kroger Co. (KR)
0.22%
Clorox Company (CLX)
0.22%
Aramark (ARMK)
0.21%
STORE Capital Corporation (STOR)
0.21%
East West Bancorp Inc. (EWBC)
0.2%
Aqua America Inc. (WTR)
0.2%
Manhattan Associates Inc. (MANH)
0.19%
Apartment Investment and Management Company Class A (AIV)
0.19%
American Homes 4 Rent Class A (AMH)
0.19%
Jazz Pharmaceuticals Plc (JAZZ)
0.19%
Prosperity Bancshares Inc.(R) (PB)
0.18%
MKS Instruments Inc. (MKSI)
0.18%
Bright Horizons Family Solutions Inc. (BFAM)
0.18%
Sarepta Therapeutics Inc. (SRPT)
0.18%
Alaska Air Group Inc. (ALK)
0.17%
Discovery Inc. Class C (DISCK)
0.16%
Toro Company (TTC)
0.16%
American Campus Communities Inc. (ACC)
0.16%
Nielsen Holdings Plc (NLSN)
0.15%
Hubbell Incorporated Class B (HUBB)
0.15%
Viacom Inc. Class B (VIAB)
0.15%
Brixmor Property Group Inc. (BRX)
0.15%
Tapestry Inc. (TPR)
0.15%
Healthcare Trust of America Inc. Class A (HTA)
0.15%
TFS Financial Corporation (TFSL)
0.14%
Penumbra Inc. (PEN)
0.14%
HD Supply Holdings Inc. (HDS)
0.14%
Zayo Group Holdings Inc. (ZAYO)
0.14%
Hexcel Corporation (HXL)
0.14%
Pentair plc (PNR)
0.14%
J.M. Smucker Company (SJM)
0.13%
Robert Half International Inc. (RHI)
0.13%
Bank of Hawaii Corporation (BOH)
0.13%
PVH Corp. (PVH)
0.13%
JBG SMITH Properties (JBGS)
0.13%
Gap Inc. (GPS)
0.13%
BankUnited Inc. (BKU)
0.13%
Lamb Weston Holdings Inc. (LW)
0.12%
Mosaic Company (MOS)
0.12%
Watsco Inc. (WSO)
0.12%
Aptargroup Inc. (ATR)
0.12%
Brighthouse Financial Inc. (BHF)
0.11%
FireEye Inc. (FEYE)
0.11%
Parsley Energy Inc. Class A (PE)
0.11%
ManpowerGroup Inc. (MAN)
0.11%
Nordstrom Inc. (JWN)
0.11%
Williams-Sonoma Inc. (WSM)
0.1%
Service Properties Trust (SVC)
0.1%
US Foods Holding Corp. (USFD)
0.1%
Macys Inc (M)
0.1%
Hawaiian Electric Industries Inc. (HE)
0.1%
Ralph Lauren Corporation Class A (RL)
0.1%
Choice Hotels International Inc. (CHH)
0.09%
L Brands Inc. (LB)
0.09%
Air Lease Corporation Class A (AL)
0.09%
Two Harbors Investment Corp. (TWO)
0.09%
Capri Holdings Limited (CPRI)
0.09%
Post Holdings Inc. (POST)
0.08%
Alkermes Plc (ALKS)
0.08%
Mattel Inc. (MAT)
0.08%
Legg Mason Inc. (LM)
0.08%
Discovery Inc. Class A (DISCA)
0.08%
Navient Corp (NAVI)
0.08%
CommScope Holding Co. Inc. (COMM)
0.08%
nVent Electric plc (NVT)
0.07%
GrafTech International Ltd. (EAF)
0.07%
W R Grace & Co (GRA)
0.07%
Graphic Packaging Holding Company (GPK)
0.07%
Valvoline Inc. (VVV)
0.06%
Brandywine Realty Trust (BDN)
0.06%
Columbia Property Trust Inc. (CXP)
0.06%
Alcoa Corp. (AA)
0.06%
Hyatt Hotels Corporation Class A (H)
0.05%
Taubman Centers Inc. (TCO)
0.05%
Pluralsight Inc. Class A (PS)
0.05%
Graham Holdings Co. (GHC)
0.05%
Urban Outfitters Inc. (URBN)
0.05%
Apergy Corp. (APY)
0.05%
WESCO International Inc. (WCC)
0.04%
Switch Inc. Class A (SWCH)
0.04%
Domtar Corporation (UFS)
0.04%
Arcosa Inc (ACA)
0.03%
CNX Resources Corporation (CNX)
0.03%
STATE STREET INSTL US GOVERNME STIF USD (85749246)
0.03%
Energizer Holdings Inc (ENR)
0.03%
Michaels Companies Inc (MIK)
0.03%
RPC Inc. (RES)
0.02%
Sprouts Farmers Markets Inc. (SFM)
0.02%
Viacom Inc. Class A (VIA)
0.02%
Realogy Holdings Corp. (RLGY)
0.02%
SPDR SSGA Gender Diversity Index ETF (SHE)
0%
U.S. Dollar
0%

SHE Technicals

Alpha

-1.04

Beta

0.93

Leverage

Long

Standard Deviation

3

SHE Dividends

Dividend Date

2019-09-20

Latest Dividend

0.342

Annual Dividend

4.47

Annual Dividend Rate

4.47

Annual Dividend Yield

6.06

SHE Performance

YTD Return

15.57%

1 Year Return

-0.34%

3 Year Return

16.5%

5 Year Return

0%

10 Year Return

19.42%

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