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10,793
total market cap:
โน12968.579 T
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Watchlist
Account
SPDR S&P US Dividend Aristocrats UCITS ETF Dis
SPYD.DE
#587
ETF rank
โน322.59 B
Marketcap
๐ช๐บ EU
Market
โน7,602
Share price
-0.68%
Change (1 day)
N/A
Change (1 year)
% Dividend and Income ETFs
๐บ๐ธ U.S. ETFs
Categories
Market cap
Price history
Shares outstanding
Cost to borrow
Fees (Expense ratio)
Holdings
More
Cost to borrow
Fees (Expense ratio)
SPDR S&P US Dividend Aristocrats UCITS ETF Dis - Holdings
Etf holdings as of
April 9, 2026
Number of holdings:
159
Full holdings list
Weight %
Name
ISIN
Country
3.46%
Verizon Communications Inc.
US92343V1044
2.46%
Realty Income Corporation
US7561091049
2.29%
Target Corporation
US87612E1064
2.15%
Chevron Corporation
US1667641005
1.78%
PepsiCo Inc.
US7134481081
1.67%
Exxon Mobil Corporation
US30231G1022
1.64%
WEC Energy Group Inc
US92939U1060
1.59%
Consolidated Edison Inc.
US2091151041
1.56%
Kenvue Inc.
US49177J1025
1.56%
Southern Company
US8425871071
1.54%
Kimberly-Clark Corporation
US4943681035
1.52%
Texas Instruments Incorporated
US8825081040
1.40%
Xcel Energy Inc.
US98389B1008
1.37%
Air Products and Chemicals Inc.
US0091581068
1.37%
Edison International
US2810201077
1.35%
Archer-Daniels-Midland Company
US0394831020
1.33%
NextEra Energy Inc.
US65339F1012
1.33%
Coca-Cola Company
US1912161007
1.27%
Lockheed Martin Corporation
US5398301094
1.25%
AbbVie Inc.
US00287Y1091
1.24%
Procter & Gamble Company
US7427181091
1.20%
Sysco Corporation
US8718291078
1.18%
Eversource Energy
US30040W1080
1.17%
Johnson & Johnson
US4781601046
1.15%
Illinois Tool Works Inc.
US4523081093
1.14%
Atmos Energy Corporation
US0495601058
1.12%
Colgate-Palmolive Company
US1941621039
1.12%
Microchip Technology Incorporated
US5950171042
1.09%
Medtronic Plc
IE00BTN1Y115
1.06%
PPG Industries Inc.
US6935061076
1.03%
McDonald's Corporation
US5801351017
1.01%
Fastenal Company
US3119001044
0.97%
Aflac Incorporated
US0010551028
0.91%
T. Rowe Price Group Inc.
US74144T1088
0.91%
Cincinnati Financial Corporation
US1720621010
0.89%
Amcor PLC
JE00BV7DQ550
0.86%
Evergy Inc.
US30034W1062
0.86%
Alliant Energy Corporation
US0188021085
0.85%
Automatic Data Processing Inc.
US0530151036
0.77%
Essex Property Trust Inc.
US2971781057
0.76%
International Business Machines Corporation
US4592001014
0.75%
Lowe's Companies Inc.
US5486611073
0.73%
NIKE Inc. Class B
US6541061031
0.72%
Abbott Laboratories
US0028241000
0.71%
QUALCOMM Incorporated
US7475251036
0.71%
Travelers Companies Inc.
US89417E1091
0.71%
Northrop Grumman Corp.
US6668071029
0.71%
L3Harris Technologies Inc
US5024311095
0.71%
Analog Devices Inc.
US0326541051
0.70%
General Dynamics Corporation
US3695501086
0.70%
CSX Corporation
US1264081035
0.69%
Cummins Inc.
US2310211063
0.68%
Becton Dickinson and Company
US0758871091
0.68%
Emerson Electric Co.
US2910111044
0.68%
Linde plc
IE000S9YS762
0.67%
Accenture Plc Class A
IE00B4BNMY34
0.65%
Waste Management Inc.
US94106L1098
0.64%
Genuine Parts Company
US3724601055
0.63%
McCormick & Company Incorporated
US5797802064
0.62%
C.H. Robinson Worldwide Inc.
US12541W2098
0.62%
RPM International Inc.
US7496851038
0.62%
Church & Dwight Co. Inc.
US1713401024
0.61%
Graco Inc.
US3841091040
0.60%
Best Buy Co. Inc.
US0865161014
0.59%
Nucor Corporation
US6703461052
0.58%
Nordson Corporation
US6556631025
0.58%
Chubb Limited
CH0044328745
0.56%
Clorox Company
US1890541097
0.56%
Carlisle Companies Incorporated
US1423391002
0.56%
Equity LifeStyle Properties Inc.
US29472R1086
0.55%
Lincoln Electric Holdings Inc.
US5339001068
0.54%
Caterpillar Inc.
US1491231015
0.54%
Essential Utilities Inc.
US29670G1022
0.53%
Assurant Inc.
US04621X1081
0.50%
Republic Services Inc.
US7607591002
0.49%
Ameriprise Financial Inc.
US03076C1062
0.48%
Stanley Black & Decker Inc.
US8545021011
0.47%
Dover Corporation
US2600031080
0.46%
Albemarle Corporation
US0126531013
0.45%
Ecolab Inc.
US2788651006
0.45%
American Financial Group Inc.
US0259321042
0.45%
Old Republic International Corporation
US6802231042
0.44%
J.M. Smucker Company
US8326964058
0.44%
RB Global Inc.
CA74935Q1072
0.44%
Jack Henry & Associates Inc.
US4262811015
0.43%
Cardinal Health Inc.
US14149Y1082
0.42%
Donaldson Company Inc.
US2576511099
0.42%
W.W. Grainger Inc.
US3848021040
0.42%
Ryder System Inc.
US7835491082
0.41%
J.B. Hunt Transport Services Inc.
US4456581077
0.40%
Toro Company
US8910921084
0.40%
AptarGroup Inc.
US0383361039
0.39%
Federal Realty Investment Trust
US3137451015
0.39%
National Fuel Gas Company
US6361801011
0.39%
Expeditors International of Washington Inc.
US3021301094
0.39%
Cullen/Frost Bankers Inc.
US2298991090
0.39%
Sherwin-Williams Company
US8243481061
0.38%
FactSet Research Systems Inc.
US3030751057
0.38%
Walmart Inc.
US9311421039
0.37%
UMB Financial Corporation
US9027881088
0.37%
Pentair plc
IE00BLS09M33
0.37%
NNN REIT Inc.
US6374171063
0.36%
Cintas Corporation
US1729081059
0.36%
STERIS plc
IE00BFY8C754
0.34%
Globe Life Inc.
US37959E1029
0.34%
Royal Gold Inc.
US7802871084
0.34%
Franklin Resources Inc.
US3546131018
0.34%
Texas Pacific Land Corporation
US88262P1021
0.33%
A. O. Smith Corporation
US8318652091
0.32%
SEI Investments Company
US7841171033
0.32%
Hanover Insurance Group Inc.
US4108671052
0.32%
Erie Indemnity Company Class A
US29530P1021
0.30%
Brown & Brown Inc.
US1152361010
0.30%
Roper Technologies Inc.
US7766961061
0.30%
Commerce Bancshares Inc.
US2005251036
0.29%
Prosperity Bancshares Inc.(R)
US7436061052
0.28%
Hormel Foods Corporation
US4404521001
0.28%
RLI Corp.
US7496071074
0.27%
Cencora Inc.
US03073E1055
0.27%
RenaissanceRe Holdings Ltd.
BMG7496G1033
0.27%
Costco Wholesale Corporation
US22160K1051
0.26%
Microsoft Corporation
US5949181045
0.26%
United Bankshares Inc.
US9099071071
0.26%
New Jersey Resources Corporation
US6460251068
0.26%
Spire Inc.
US84857L1017
0.26%
MSA Safety Inc.
US5534981064
0.25%
ONE Gas Inc.
US68235P1084
0.25%
Black Hills Corporation
US0921131092
0.25%
S&P Global Inc.
US78409V1044
0.24%
Sonoco Products Company
US8354951027
0.23%
Brown-Forman Corporation Class B
US1156372096
0.23%
Bank OZK
US06417N1037
0.22%
Badger Meter Inc.
US0565251081
0.21%
W. R. Berkley Corporation
US0844231029
0.21%
Casey's General Stores Inc.
US1475281036
0.17%
Franklin Electric Co. Inc.
US3535141028
0.16%
Silgan Holdings Inc.
US8270481091
0.16%
H.B. Fuller Company
US3596941068
0.16%
Brady Corporation Class A
US1046741062
0.16%
Westlake Corporation
US9604131022
0.15%
Avista Corporation
US05379B1070
0.15%
Chesapeake Utilities Corporation
US1653031088
0.14%
American States Water Company
US0298991011
0.14%
Community Financial System Inc.
US2036071064
0.14%
Marzetti Company
US5138471033
0.14%
West Pharmaceutical Services Inc.
US9553061055
0.14%
MGE Energy Inc.
US55277P1049
0.13%
Hawkins Inc.
US4202611095
0.13%
Polaris Inc.
US7310681025
0.13%
California Water Service Group
US1307881029
0.11%
Robert Half Inc.
US7703231032
0.11%
ABM Industries Incorporated
US0009571003
0.10%
BancFirst Corporation
US05945F1030
0.08%
Flowers Foods Inc.
US3434981011
0.06%
Perrigo Co. Plc
IE00BGH1M568
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