SHE

SPDR SSGA Gender Diversity Index ETF

Down$75.67
$-0.37
(-0.49%)
As of 7:40:00 PM EDT | 11/20/19  |  Market Closed

SHE Trading Data

Open

$75.83

Low Price

$75.33

High Price

$75.93

Previous Last Price

$76.04

Bid Size

$62.26 X 200

Ask Size

$199999.98 X 100

SHE Portfolio Data

AUM

$150,159,300

Shares

1,975

PE Ratio

17.73

Price / Book Ratio

3.02

Expense Ratio

0.2

Net Asset Value

$76.03

Volume

Volume

6,500

Avg. Volume (YDT)

24,635

Dollar Volume

$13,139,763

Weekly Avg. Volume

9,440

Monthly Avg. Volume

95,155

Quarterly Avg. Volume

50,863

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)
5.1%
Home Depot Inc. (HD)
4.72%
Johnson & Johnson (JNJ)
4.7%
Wells Fargo & Company (WFC)
4.61%
Walt Disney Company (DIS)
4.22%
PayPal Holdings Inc (PYPL)
4.15%
Texas Instruments Incorporated (TXN)
3.72%
U.S. Bancorp (USB)
2.54%
Coca-Cola Company (KO)
2.48%
Intuit Inc. (INTU)
2.39%

Total SHE Holdings

Total Holdings: 181

Visa Inc. Class A (V)
5.1%
Home Depot Inc. (HD)
4.72%
Johnson & Johnson (JNJ)
4.7%
Wells Fargo & Company (WFC)
4.61%
Walt Disney Company (DIS)
4.22%
PayPal Holdings Inc (PYPL)
4.15%
Texas Instruments Incorporated (TXN)
3.72%
U.S. Bancorp (USB)
2.54%
Coca-Cola Company (KO)
2.48%
Intuit Inc. (INTU)
2.39%
Gilead Sciences Inc. (GILD)
2.26%
Netflix Inc. (NFLX)
2.23%
PepsiCo Inc. (PEP)
2.06%
3M Company (MMM)
2.02%
Starbucks Corporation (SBUX)
1.92%
Charter Communications Inc. Class A (CHTR)
1.79%
Zoetis Inc. Class A (ZTS)
1.58%
Biogen Inc. (BIIB)
1.5%
TJX Companies Inc (TJX)
1.39%
Raytheon Company (RTN)
1.23%
Northrop Grumman Corporation (NOC)
1.23%
MetLife Inc. (MET)
1.22%
Phillips 66 (PSX)
1.2%
Illinois Tool Works Inc. (ITW)
1.17%
Paychex Inc. (PAYX)
1.04%
Waste Management Inc. (WM)
0.98%
Marathon Petroleum Corporation (MPC)
0.93%
Valero Energy Corporation (VLO)
0.91%
Sempra Energy (SRE)
0.78%
McKesson Corporation (MCK)
0.76%
DuPont de Nemours Inc. (DD)
0.76%
Discover Financial Services (DFS)
0.68%
CDW Corp. (CDW)
0.67%
Alexion Pharmaceuticals Inc. (ALXN)
0.67%
Occidental Petroleum Corporation (OXY)
0.65%
Southwest Airlines Co. (LUV)
0.63%
IDEXX Laboratories Inc. (IDXX)
0.62%
Dow Inc. (DOW)
0.61%
Public Service Enterprise Group Inc (PEG)
0.6%
Northern Trust Corporation (NTRS)
0.6%
Hartford Financial Services Group Inc. (HIG)
0.59%
Consolidated Edison Inc. (ED)
0.58%
Realty Income Corporation (O)
0.57%
Lululemon Athletica Inc (LULU)
0.5%
Kimberly-Clark Corporation (KMB)
0.49%
Pioneer Natural Resources Company (PXD)
0.48%
Estee Lauder Companies Inc. Class A (EL)
0.47%
Okta Inc. Class A (OKTA)
0.44%
Edison International (EIX)
0.43%
Alexandria Real Estate Equities Inc. (ARE)
0.42%
Twilio Inc. Class A (TWLO)
0.4%
GoDaddy Inc. Class A (GDDY)
0.4%
Western Union Company (WU)
0.4%
Principal Financial Group Inc. (PFG)
0.39%
Franklin Resources Inc. (BEN)
0.38%
W.W. Grainger Inc. (GWW)
0.36%
Comerica Incorporated (CMA)
0.35%
Booz Allen Hamilton Holding Corporation Class A (BAH)
0.35%
Sun Communities Inc. (SUI)
0.35%
General Mills Inc. (GIS)
0.34%
Monster Beverage Corporation (MNST)
0.34%
Ball Corporation (BLL)
0.34%
Annaly Capital Management Inc. (NLY)
0.33%
SVB Financial Group (SIVB)
0.33%
Universal Display Corporation (OLED)
0.32%
Amdocs Limited (DOX)
0.32%
Kansas City Southern (KSU)
0.31%
Yum China Holdings Inc. (YUMC)
0.31%
Equity LifeStyle Properties Inc. (ELS)
0.3%
Host Hotels & Resorts Inc. (HST)
0.3%
IAC/InterActiveCorp. (IAC)
0.29%
Corteva Inc (CTVA)
0.29%
Zendesk Inc. (ZEN)
0.28%
CenturyLink Inc. (CTL)
0.27%
Ulta Beauty Inc (ULTA)
0.26%
Camden Property Trust (CPT)
0.25%
Teledyne Technologies Incorporated (TDY)
0.25%
Vistra Energy Corp. (VST)
0.25%
Rollins Inc. (ROL)
0.24%
CBS Corporation Class B (CBS)
0.24%
Celanese Corporation (CE)
0.24%
Alliant Energy Corp (LNT)
0.24%
Kellogg Company (K)
0.24%
Kroger Co. (KR)
0.23%
East West Bancorp Inc. (EWBC)
0.22%
National Retail Properties Inc. (NNN)
0.22%
Ionis Pharmaceuticals Inc. (IONS)
0.22%
McCormick & Company Incorporated (MKC)
0.22%
Santander Consumer USA Holdings Inc. (SC)
0.21%
Jazz Pharmaceuticals Plc (JAZZ)
0.21%
STORE Capital Corporation (STOR)
0.21%
Aramark (ARMK)
0.21%
Noble Energy Inc. (NBL)
0.21%
Clorox Company (CLX)
0.2%
Sarepta Therapeutics Inc. (SRPT)
0.2%
MKS Instruments Inc. (MKSI)
0.2%
Prosperity Bancshares Inc.(R) (PB)
0.19%
Apartment Investment and Management Company Class A (AIV)
0.19%
American Homes 4 Rent Class A (AMH)
0.18%
Alliance Data Systems Corporation (ADS)
0.18%
Aqua America Inc. (WTR)
0.18%
Discovery Inc. Class C (DISCK)
0.18%
Alaska Air Group Inc. (ALK)
0.17%
Manhattan Associates Inc. (MANH)
0.17%
Bright Horizons Family Solutions Inc. (BFAM)
0.17%
Toro Company (TTC)
0.16%
Hubbell Incorporated Class B (HUBB)
0.16%
Brixmor Property Group Inc. (BRX)
0.16%
Penumbra Inc. (PEN)
0.16%
Pentair plc (PNR)
0.15%
American Campus Communities Inc. (ACC)
0.15%
Bank of Hawaii Corporation (BOH)
0.15%
TFS Financial Corporation (TFSL)
0.15%
Viacom Inc. Class B (VIAB)
0.15%
Tapestry Inc. (TPR)
0.15%
Nielsen Holdings Plc (NLSN)
0.15%
BankUnited Inc. (BKU)
0.14%
Healthcare Trust of America Inc. Class A (HTA)
0.14%
PVH Corp. (PVH)
0.14%
Robert Half International Inc. (RHI)
0.14%
HD Supply Holdings Inc. (HDS)
0.14%
Hexcel Corporation (HXL)
0.13%
Zayo Group Holdings Inc. (ZAYO)
0.13%
Lamb Weston Holdings Inc. (LW)
0.13%
J.M. Smucker Company (SJM)
0.13%
JBG SMITH Properties (JBGS)
0.12%
FireEye Inc. (FEYE)
0.12%
Ralph Lauren Corporation Class A (RL)
0.12%
Gap Inc. (GPS)
0.12%
Brighthouse Financial Inc. (BHF)
0.12%
Mosaic Company (MOS)
0.12%
ManpowerGroup Inc. (MAN)
0.12%
Watsco Inc. (WSO)
0.12%
Aptargroup Inc. (ATR)
0.11%
Nordstrom Inc. (JWN)
0.1%
Capri Holdings Limited (CPRI)
0.1%
Williams-Sonoma Inc. (WSM)
0.1%
Air Lease Corporation Class A (AL)
0.1%
Macys Inc (M)
0.1%
Two Harbors Investment Corp. (TWO)
0.1%
Choice Hotels International Inc. (CHH)
0.09%
Parsley Energy Inc. Class A (PE)
0.09%
CommScope Holding Co. Inc. (COMM)
0.09%
US Foods Holding Corp. (USFD)
0.09%
Legg Mason Inc. (LM)
0.09%
Hawaiian Electric Industries Inc. (HE)
0.09%
Service Properties Trust (SVC)
0.09%
L Brands Inc. (LB)
0.09%
Navient Corp (NAVI)
0.09%
nVent Electric plc (NVT)
0.09%
Post Holdings Inc. (POST)
0.09%
Alkermes Plc (ALKS)
0.08%
GrafTech International Ltd. (EAF)
0.08%
Discovery Inc. Class A (DISCA)
0.08%
Mattel Inc. (MAT)
0.08%
Graphic Packaging Holding Company (GPK)
0.07%
W R Grace & Co (GRA)
0.07%
Valvoline Inc. (VVV)
0.07%
Brandywine Realty Trust (BDN)
0.06%
Alcoa Corp. (AA)
0.06%
Hyatt Hotels Corporation Class A (H)
0.06%
STATE STREET INSTL US GOVERNME STIF USD (85749246)
0.06%
Columbia Property Trust Inc. (CXP)
0.06%
Pluralsight Inc. Class A (PS)
0.06%
Urban Outfitters Inc. (URBN)
0.05%
Taubman Centers Inc. (TCO)
0.05%
WESCO International Inc. (WCC)
0.05%
Apergy Corp. (APY)
0.04%
Switch Inc. Class A (SWCH)
0.04%
Domtar Corporation (UFS)
0.04%
Arcosa Inc (ACA)
0.04%
Energizer Holdings Inc (ENR)
0.04%
Graham Holdings Co. (GHC)
0.04%
CNX Resources Corporation (CNX)
0.03%
Realogy Holdings Corp. (RLGY)
0.03%
Sprouts Farmers Markets Inc. (SFM)
0.03%
Michaels Companies Inc (MIK)
0.02%
Viacom Inc. Class A (VIA)
0.02%
RPC Inc. (RES)
0.02%
SPDR SSGA Gender Diversity Index ETF (SHE)
0%
U.S. Dollar
0%

SHE Technicals

Alpha

-1.09

Beta

0.93

Leverage

Long

Standard Deviation

2.81

SHE Dividends

Dividend Date

2019-09-20

Latest Dividend

0.342

Annual Dividend

4.47

Annual Dividend Rate

4.47

Annual Dividend Yield

5.88

SHE Performance

YTD Return

18.74%

1 Year Return

6.68%

3 Year Return

15.09%

5 Year Return

0%

10 Year Return

22.44%

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