SLYG

SPDR S&P 600 Small Cap Growth ETF

Up$60.65
+$0.06
(+0.1%)
As of 6:40:00 PM EDT | 10/22/19  |  Market Closed

SLYG Trading Data

Open

$60.7

Low Price

$60.47

High Price

$60.93

Previous Last Price

$60.59

Bid Size

$58.12 X 3200

Ask Size

$0 X 0

SLYG Portfolio Data

AUM

$1,847,995,000

Shares

30,500

PE Ratio

19.89

Price / Book Ratio

2.51

Expense Ratio

0.15

Net Asset Value

$60.59

Volume

Volume

69,700

Avg. Volume (YDT)

208,113

Dollar Volume

$3,569,129

Weekly Avg. Volume

93,720

Monthly Avg. Volume

172,870

Quarterly Avg. Volume

146,020

SLYG Fund Description

The SPDR SP 600 Small Cap Growth ETF seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the SP SmallCap 600 Growth Index.

SLYG Chart

SLYG Summary

Fund Family

State Street Global Advisors

Tracks This Index

SPDR S&P 600 Small Cap Growth ETF

Inception Date

2000-09-25

Asset Class

Equity

Asset Class Size

Small Cap

SLYG Classification

Region (General)

North America

Region (Specific)

US

Sector

Equity Index

S&P SmallCap 600

Leveraged Family

SLYG Holdings

Top 10 Holdings

Cabot Microelectronics Corporation (CCMP)
1.18%
RLI Corp. (RLI)
1.08%
Glacier Bancorp Inc. (GBCI)
0.99%
Arrowhead Pharmaceuticals Inc. (ARWR)
0.96%
Viavi Solutions Inc (VIAV)
0.95%
Neogen Corporation (NEOG)
0.94%
Community Bank System Inc. (CBU)
0.93%
Exponent Inc. (EXPO)
0.92%
Aerojet Rocketdyne Holdings Inc. (AJRD)
0.9%
Agree Realty Corporation (ADC)
0.89%

Total SLYG Holdings

Total Holdings: 341

Cabot Microelectronics Corporation (CCMP)
1.18%
RLI Corp. (RLI)
1.08%
Glacier Bancorp Inc. (GBCI)
0.99%
Arrowhead Pharmaceuticals Inc. (ARWR)
0.96%
Viavi Solutions Inc (VIAV)
0.95%
Neogen Corporation (NEOG)
0.94%
Community Bank System Inc. (CBU)
0.93%
Exponent Inc. (EXPO)
0.92%
Aerojet Rocketdyne Holdings Inc. (AJRD)
0.9%
Agree Realty Corporation (ADC)
0.89%
Omnicell Inc. (OMCL)
0.88%
Medicines Company (MDCO)
0.87%
Old National Bancorp (ONB)
0.86%
UniFirst Corporation (UNF)
0.84%
HMS Holdings Corp. (HMSY)
0.82%
Brooks Automation Inc. (BRKS)
0.8%
Strategic Education Inc. (STRA)
0.78%
Proto Labs Inc. (PRLB)
0.78%
Shake Shack Inc. Class A (SHAK)
0.77%
Independent Bank Corp. (INDB)
0.77%
CONMED Corporation (CNMD)
0.76%
AMN Healthcare Services Inc. (AMN)
0.75%
Monro Inc (MNRO)
0.73%
Wingstop Inc. (WING)
0.73%
Albany International Corp. Class A (AIN)
0.73%
WD-40 Company (WDFC)
0.68%
Dorman Products Inc. (DORM)
0.67%
Integer Holdings Corporation (ITGR)
0.67%
Fox Factory Holding Corp. (FOXF)
0.67%
American States Water Company (AWR)
0.65%
Iridium Communications Inc. (IRDM)
0.64%
CareTrust REIT Inc (CTRE)
0.63%
Innospec Inc. (IOSP)
0.62%
LHC Group Inc. (LHCG)
0.6%
ESCO Technologies Inc. (ESE)
0.6%
LegacyTexas Financial Group Inc. (LTXB)
0.59%
Ensign Group Inc. (ENSG)
0.59%
NeoGenomics Inc. (NEO)
0.58%
National Storage Affiliates Trust (NSA)
0.58%
Crocs Inc. (CROX)
0.57%
Medpace Holdings Inc. (MEDP)
0.56%
FTI Consulting Inc. (FCN)
0.56%
Allegiant Travel Company (ALGT)
0.56%
Four Corners Property Trust Inc. (FCPT)
0.53%
Quaker Chemical Corporation (KWR)
0.52%
Redwood Trust Inc. (RWT)
0.52%
Brady Corporation Class A (BRC)
0.52%
Rogers Corporation (ROG)
0.52%
Franklin Electric Co. Inc. (FELE)
0.52%
8x8 Inc. (EGHT)
0.51%
Avon Products Inc. (AVP)
0.5%
SPX Corporation (SPXC)
0.5%
Kontoor Brands Inc. (KTB)
0.5%
U.S. Physical Therapy Inc. (USPH)
0.49%
Balchem Corporation (BCPC)
0.49%
Xencor Inc. (XNCR)
0.49%
Westamerica Bancorporation (WABC)
0.48%
J & J Snack Foods Corp. (JJSF)
0.48%
Cavco Industries Inc. (CVCO)
0.47%
John Bean Technologies Corporation (JBT)
0.47%
Cardiovascular Systems Inc. (CSII)
0.47%
Mobile Mini Inc. (MINI)
0.47%
Merit Medical Systems Inc. (MMSI)
0.46%
SPS Commerce Inc. (SPSC)
0.46%
Power Integrations Inc. (POWI)
0.46%
Matson Inc. (MATX)
0.45%
Cogent Communications Holdings Inc (CCOI)
0.44%
Qualys Inc. (QLYS)
0.44%
Kaiser Aluminum Corporation (KALU)
0.43%
iRobot Corporation (IRBT)
0.43%
Easterly Government Properties Inc. (DEA)
0.43%
Harsco Corporation (HSC)
0.42%
Wolverine World Wide Inc. (WWW)
0.42%
California Water Service Group (CWT)
0.41%
Bottomline Technologies (de) Inc. (EPAY)
0.41%
Avista Corporation (AVA)
0.41%
LivePerson Inc. (LPSN)
0.4%
Simpson Manufacturing Co. Inc. (SSD)
0.4%
El Paso Electric Company (EE)
0.4%
RH (RH)
0.4%
US Ecology Inc. (ECOL)
0.39%
Corcept Therapeutics Incorporated. (CORT)
0.39%
Cambrex Corporation (CBM)
0.39%
LTC Properties Inc. (LTC)
0.39%
Acadia Realty Trust (AKR)
0.39%
Sleep Number Corporation (SNBR)
0.39%
Northwest Natural Holding Co. (NWN)
0.39%
Emergent BioSolutions Inc. (EBS)
0.39%
Supernus Pharmaceuticals Inc. (SUPN)
0.38%
BioTelemetry Inc. (BEAT)
0.37%
Seacoast Banking Corporation of Florida (SBCF)
0.37%
CVB Financial Corp. (CVBF)
0.36%
Steven Madden Ltd. (SHOO)
0.36%
KEMET Corporation (KEM)
0.36%
Callaway Golf Company (ELY)
0.36%
City Holding Company (CHCO)
0.36%
Dave & Busters Entertainment Inc. (PLAY)
0.35%
DiamondRock Hospitality Company (DRH)
0.35%
American Assets Trust Inc. (AAT)
0.35%
Dine Brands Global Inc. (DIN)
0.35%
AAON Inc. (AAON)
0.35%
Inter Parfums Inc. (IPAR)
0.34%
AeroVironment Inc. (AVAV)
0.34%
Perficient Inc. (PRFT)
0.34%
Archrock Inc. (AROC)
0.34%
Stamps.com Inc. (STMP)
0.34%
Korn Ferry (KFY)
0.34%
REGENXBIO Inc. (RGNX)
0.34%
Myriad Genetics Inc. (MYGN)
0.34%
Essential Properties Realty Trust Inc. (EPRT)
0.33%
Watts Water Technologies Inc. Class A (WTS)
0.33%
First Midwest Bancorp Inc. (FMBI)
0.33%
Fabrinet (FN)
0.33%
EVERTEC Inc. (EVTC)
0.33%
eHealth Inc. (EHTH)
0.33%
Progress Software Corporation (PRGS)
0.33%
Medifast Inc. (MED)
0.33%
Raven Industries Inc. (RAVN)
0.33%
Cardtronics plc Class A (CATM)
0.33%
Applied Industrial Technologies Inc. (AIT)
0.33%
Childrens Place Inc. (PLCE)
0.32%
Cubic Corporation (CUB)
0.32%
Forward Air Corporation (FWRD)
0.32%
Genomic Health Inc. (GHDX)
0.31%
First Bancorp (FBP)
0.31%
Pacira Biosciences Inc. (PCRX)
0.31%
Federal Signal Corporation (FSS)
0.31%
Valaris PLC Class A (VAL)
0.31%
Addus HomeCare Corporation (ADUS)
0.3%
Vonage Holdings Corp. (VG)
0.3%
Barnes Group Inc. (B)
0.3%
CTS Corporation (CTS)
0.3%
Alarm.com Holdings Inc. (ALRM)
0.3%
Virtusa Corporation (VRTU)
0.29%
Washington Real Estate Investment Trust (WRE)
0.29%
Career Education Corporation (CECO)
0.28%
American Equity Investment Life Holding Company (AEL)
0.28%
Blucora Inc. (BCOR)
0.28%
United Fire Group Inc. (UFCS)
0.27%
Calavo Growers Inc. (CVGW)
0.27%
3D Systems Corporation (DDD)
0.27%
Tabula Rasa Healthcare Inc. (TRHC)
0.27%
Armada Hoffler Properties Inc. (AHH)
0.27%
Enanta Pharmaceuticals Inc. (ENTA)
0.27%
Knowles Corp. (KN)
0.27%
Cleveland-Cliffs Inc (CLF)
0.27%
Gentherm Incorporated (THRM)
0.26%
Asbury Automotive Group Inc. (ABG)
0.26%
ExlService Holdings Inc. (EXLS)
0.26%
Endo International Plc (ENDP)
0.26%
Momenta Pharmaceuticals Inc. (MNTA)
0.26%
NMI Holdings Inc. Class A (NMIH)
0.26%
Cadence Bancorporation Class A (CADE)
0.26%
Chart Industries Inc. (GTLS)
0.26%
Comfort Systems USA Inc. (FIX)
0.25%
Universal Insurance Holdings Inc. (UVE)
0.25%
CryoLife Inc. (CRY)
0.25%
Badger Meter Inc. (BMI)
0.25%
Gibraltar Industries Inc. (ROCK)
0.25%
Great Western Bancorp Inc. (GWB)
0.25%
MaxLinear inc (MXL)
0.24%
Spectrum Pharmaceuticals Inc. (SPPI)
0.24%
Tactile Systems Technology Inc. (TCMD)
0.24%
Mesa Laboratories Inc. (MLAB)
0.24%
Universal Health Realty Income Trust (UHT)
0.24%
Advanced Energy Industries Inc. (AEIS)
0.24%
Diodes Incorporated (DIOD)
0.23%
Innovative Industrial Properties Inc (IIPR)
0.23%
Callon Petroleum Company (CPE)
0.23%
Marcus & Millichap Inc. (MMI)
0.23%
Luminex Corp (LMNX)
0.23%
AMERISAFE Inc. (AMSF)
0.23%
Office Properties Income Trust (OPI)
0.23%
Community Healthcare Trust Inc. (CHCT)
0.23%
Marcus Corporation (MCS)
0.23%
Veritex Holdings Inc. (VBTX)
0.22%
Nanometrics Incorporated (NANO)
0.22%
Materion Corporation (MTRN)
0.22%
Washington Prime Group Inc. (WPG)
0.22%
Hillenbrand Inc. (HI)
0.22%
NextGen Healthcare Inc. (NXGN)
0.22%
Triumph Bancorp Inc. (TBK)
0.22%
Axos Financial Inc. (AX)
0.21%
Oxford Industries Inc. (OXM)
0.21%
New York Mortgage Trust Inc. (NYMT)
0.21%
Boot Barn Holdings Inc. (BOOT)
0.21%
Guess? Inc. (GES)
0.21%
E. W. Scripps Company Class A (SSP)
0.2%
Urstadt Biddle Properties Inc. Class A (UBA)
0.2%
AZZ Inc. (AZZ)
0.2%
Kaman Corporation Class A (KAMN)
0.2%
Innoviva Inc. (INVA)
0.2%
Vanda Pharmaceuticals Inc. (VNDA)
0.2%
CSG Systems International Inc. (CSGS)
0.2%
BJs Restaurants Inc. (BJRI)
0.2%
OSI Systems Inc. (OSIS)
0.2%
CorVel Corporation (CRVL)
0.2%
Hub Group Inc. Class A (HUBG)
0.2%
ANI Pharmaceuticals Inc. (ANIP)
0.19%
B&G Foods Inc. (BGS)
0.19%
RPT Realty (RPT)
0.19%
S&T Bancorp Inc. (STBA)
0.19%
Varex Imaging Corporation (VREX)
0.19%
Global Net Lease Inc (GNL)
0.19%
Carrizo Oil & Gas Inc. (CRZO)
0.19%
Tivity Health Inc. (TVTY)
0.19%
Amphastar Pharmaceuticals Inc (AMPH)
0.19%
USANA Health Sciences Inc. (USNA)
0.19%
Actuant Corporation Class A (EPAC)
0.18%
ProPetro Holding Corp. (PUMP)
0.18%
Natus Medical Incorporated (NTUS)
0.18%
Brookline Bancorp Inc. (BRKL)
0.18%
ServisFirst Bancshares Inc (SFBS)
0.18%
Getty Realty Corp. (GTY)
0.18%
NIC Inc. (EGOV)
0.18%
National Bank Holdings Corporation Class A (NBHC)
0.18%
Orthofix Medical Inc. (OFIX)
0.18%
Warrior Met Coal Inc. (HCC)
0.18%
AAR CORP. (AIR)
0.18%
QEP Resources Inc. (QEP)
0.18%
Heartland Express Inc. (HTLD)
0.17%
Eagle Pharmaceuticals Inc. (EGRX)
0.17%
MicroStrategy Incorporated Class A (MSTR)
0.17%
Hawaiian Holdings Inc. (HA)
0.17%
Tennant Company (TNC)
0.17%
ATN International Inc. (ATNI)
0.17%
Surmodics Inc (SRDX)
0.17%
DMC Global Inc. (BOOM)
0.17%
Renewable Energy Group Inc. (REGI)
0.16%
Harmonic Inc. (HLIT)
0.16%
Heritage Financial Corporation (HFWA)
0.16%
Vicor Corporation (VICR)
0.16%
PGT Innovations Inc. (PGTI)
0.16%
QuinStreet Inc. (QNST)
0.16%
AngioDynamics Inc. (ANGO)
0.16%
Waddell & Reed Financial Inc. Class A (WDR)
0.16%
ARMOUR Residential REIT Inc. (ARR)
0.16%
DXP Enterprises Inc. (DXPE)
0.15%
Chefs Warehouse Inc. (CHEF)
0.15%
Regis Corporation (RGS)
0.15%
Vector Group Ltd. (VGR)
0.15%
Ruths Hospitality Group Inc. (RUTH)
0.15%
SunCoke Energy Inc. (SXC)
0.15%
Cal-Maine Foods Inc. (CALM)
0.15%
Agilysys Inc. (AGYS)
0.15%
OFG Bancorp (OFG)
0.14%
Heska Corporation (HSKA)
0.14%
Inogen Inc. (INGN)
0.14%
ePlus inc. (PLUS)
0.14%
Ebix Inc. (EBIX)
0.14%
Granite Point Mortgage Trust Inc. (GPMT)
0.14%
Designer Brands Inc. Class A (DBI)
0.14%
Tompkins Financial Corporation (TMP)
0.14%
Whiting Petroleum Corporation (WLL)
0.14%
Standard Motor Products Inc. (SMP)
0.14%
Glu Mobile Inc. (GLUU)
0.13%
Denbury Resources Inc. (DNR)
0.13%
AK Steel Holding Corporation (AKS)
0.13%
Allegiance Bancshares Inc. (ABTX)
0.13%
Lantheus Holdings Inc (LNTH)
0.13%
Sturm Ruger & Company Inc. (RGR)
0.13%
Pennant Group Inc (PNTG)
0.13%
Extreme Networks Inc. (EXTR)
0.13%
Central Pacific Financial Corp. (CPF)
0.12%
GCP Applied Technologies Inc. (GCP)
0.12%
MTS Systems Corporation (MTSC)
0.12%
Lindsay Corporation (LNN)
0.12%
Progenics Pharmaceuticals Inc. (PGNX)
0.12%
FARO Technologies Inc. (FARO)
0.12%
Meridian Bioscience Inc. (VIVO)
0.12%
World Acceptance Corporation (WRLD)
0.12%
National Presto Industries Inc. (NPK)
0.12%
Trinseo SA (TSE)
0.12%
TrustCo Bank Corp NY (TRST)
0.12%
Triumph Group Inc. (TGI)
0.11%
Saul Centers Inc. (BFS)
0.11%
Rudolph Technologies Inc. (RTEC)
0.11%
Unisys Corporation (UIS)
0.11%
Hawkins Inc. (HWKN)
0.11%
HealthStream Inc. (HSTM)
0.11%
WisdomTree Investments Inc. (WETF)
0.11%
MGP Ingredients Inc. (MGPI)
0.11%
John B. Sanfilippo & Son Inc. (JBSS)
0.1%
Forrester Research Inc. (FORR)
0.1%
LeMaitre Vascular Inc. (LMAT)
0.1%
HomeStreet Inc. (HMST)
0.1%
Cytokinetics Incorporated (CYTK)
0.1%
Shutterstock Inc. (SSTK)
0.1%
Penn Virginia Corporation (PVAC)
0.1%
Virtus Investment Partners Inc. (VRTS)
0.1%
TechTarget Inc. (TTGT)
0.1%
Preferred Bank (PFBC)
0.1%
American Public Education Inc. (APEI)
0.1%
OneSpan Inc. (OSPN)
0.09%
Ferro Corporation (FOE)
0.09%
Diebold Nixdorf Incorporated (DBD)
0.09%
National Beverage Corp. (FIZZ)
0.09%
Jagged Peak Energy Inc. (JAG)
0.09%
Shoe Carnival Inc. (SCVL)
0.08%
Cohu Inc. (COHU)
0.08%
Care.com Inc. (CRCM)
0.08%
Heidrick & Struggles International Inc. (HSII)
0.08%
Nabors Industries Ltd. (NBR)
0.08%
Monarch Casino & Resort Inc. (MCRI)
0.08%
Movado Group Inc. (MOV)
0.08%
Axcelis Technologies Inc. (ACLS)
0.08%
HCI Group Inc. (HCI)
0.08%
SMART Global Holdings Inc. (SGH)
0.07%
CEVA Inc. (CEVA)
0.07%
Chuys Holdings Inc. (CHUY)
0.07%
Tupperware Brands Corporation (TUP)
0.07%
STATE STREET INSTL US GOVERNME STIF USD (85749246)
0.07%
El Pollo Loco Holdings Inc (LOCO)
0.07%
CalAmp Corp. (CAMP)
0.07%
OraSure Technologies Inc. (OSUR)
0.07%
Tailored Brands Inc. (TLRD)
0.07%
Insteel Industries Inc. (IIIN)
0.06%
Phibro Animal Health Corporation Class A (PAHC)
0.06%
Community Health Systems Inc. (CYH)
0.06%
Cutera Inc. (CUTR)
0.06%
Bonanza Creek Energy Inc (BCEI)
0.05%
Akorn Inc. (AKRX)
0.05%
Liquidity Services Inc. (LQDT)
0.05%
Park Aerospace Corp. (PKE)
0.05%
FutureFuel Corp. (FF)
0.05%
KLX Energy Services Holdings Inc. (KLXE)
0.05%
CONSOL Energy Inc (CEIX)
0.05%
Greenhill & Co. Inc. (GHL)
0.04%
Noble Corporation plc (NE)
0.04%
DSP Group Inc. (DSPG)
0.04%
Consolidated Communications Holdings Inc. (CNSL)
0.04%
Computer Programs and Systems Inc. (CPSI)
0.04%
HighPoint Resources Corp. (HPR)
0.03%
Arlo Technologies Inc. (ARLO)
0.03%
Era Group Inc. (ERA)
0.03%
Fiesta Restaurant Group Inc. (FRGI)
0.03%
RPC Inc. (RES)
0.03%
Unit Corporation (UNT)
0.02%
Acorda Therapeutics Inc. (ACOR)
0.01%
SPDR S & P 600 Small Cap Growth ETF (SLYG)
0%
U.S. Dollar
0%

SLYG Technicals

Alpha

-2.74

Beta

1.1

Leverage

Long

Standard Deviation

2.8

SLYG Dividends

Dividend Date

2019-09-23

Latest Dividend

0.168

Annual Dividend

0.66

Annual Dividend Rate

0.66

Annual Dividend Yield

1.09

SLYG Performance

YTD Return

12.44%

1 Year Return

0.43%

3 Year Return

35.06%

5 Year Return

34.18%

10 Year Return

224.64%

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