State Street® SPDR® S&P® Telecom ETF

XTL
State Street (SPDR)Equity
AI Agents
NAV
$215.34
Net Assets
$742.9M
Expense Ratio
0.35%
YTD
+23.07%
1Y
+90.45%
3Y CAGR
+33.68%
5Y CAGR
+16.09%

In seeking to track the performance of the S&P Telecom Select Industry Index (the "index"), the fund employs a sampling strategy. It generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index. The index represents the telecommunications segment of the S&P Total Market Index ("S&P TMI").

Price History1,255 daily observations

Price History 118.86% over 1Y

Returns PerformanceTrailing total returns

YTD1Y3Y CAGR5Y CAGR
+23.07%+90.45%+33.68%+16.09%

Expense Ratio

Net (after waivers)0.35%
Gross (before waivers)0.35%

Net expense ratio reflects fee waivers and reimbursements actually paid by investors. Gross is the full management cost.

Sector Allocation3 sectors

Unclassified Equity36.13%
Technology34.90%
Communication Services27.09%

Top 10 Holdings ConcentrationWhat share of the fund the largest 10 positions occupy

Top 10 Weight
40.1%
Total Holdings
40
Verdict
moderately concentrated

Top Holdings40 positions

💡Reading the Holdings Table

The Weight column shows how much of the ETF's assets sit in each constituent. The Allocation bar scales each weight to the largest position so you can see relative concentration at a glance, and the Cumul. column tracks the running total, a fast read on how top-heavy this ETF is. The top 10 holdings account for 40.1% of assets. Click any constituent name to open its US stock detail page.

📖 Learn: Diversification & Asset Allocation →
#HoldingSectorAllocationWeightCumul.
1IRIDIUM COMMUNICATIONS INCIRDMCommunication Services
4.46%4.5%
2VIAVI SOLUTIONS INCVIAVUnclassified Equity
4.42%8.9%
3CIENA CORPCIENTechnology
4.41%13.3%
4GLOBALSTAR INCGSATUnclassified Equity
4.21%17.5%
5LUMEN TECHNOLOGIES INCLUMNCommunication Services
3.98%21.5%
6UBIQUITI INCUIUnclassified Equity
3.90%25.4%
7LUMENTUM HOLDINGS INCLITETechnology
3.79%29.2%
8VIASAT INCVSATTechnology
3.74%32.9%
9ARISTA NETWORKS INCANETTechnology
3.69%36.6%
10EXTREME NETWORKS INCEXTRTechnology
3.47%40.1%
11APPLIED OPTOELECTRONICS INCAAOIUnclassified Equity
3.40%43.5%
12CISCO SYSTEMS INCCSCOTechnology
3.34%46.8%
13ONDAS INCONDSTechnology
3.30%50.1%
14F5 INCFFIVTechnology
3.04%53.2%
15TELEPHONE AND DATA SYSTEMSTDSCommunication Services
2.98%56.1%
16AT+T INCTCommunication Services
2.78%58.9%
17MOTOROLA SOLUTIONS INCMSITechnology
2.76%61.7%
18VERIZON COMMUNICATIONS INCVZCommunication Services
2.75%64.4%
19UNITI GROUP INCUNITUnclassified Equity
2.70%67.1%
20COMCAST CORP CLASS ACMCSACommunication Services
2.66%69.8%
Total (top 20)69.8%

Check Holdings Overlap

Sign in to see if this ETF's holdings overlap with stocks already in your portfolio. Knowing your total exposure helps avoid accidental over-concentration.

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Investment CalculatorSee what investing in XTL might be worth

$
You invest
$10,000
Estimated gain
$34,458
Final value
$44,458
Projections assume returns compound at the chosen CAGR consistently for 10 years, actual returns will vary year-to-year. Past performance is not a guarantee of future results.

Key Concepts to UnderstandFive things that drive ETF performance more than anything else

Expense Ratio

The annual fee the ETF charges, deducted daily from NAV. A 0.05% ratio costs you $5/year per $10,000 invested, over 30 years that's the difference between a great fund and a mediocre one.

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Net Assets (AUM)

Total money the ETF manages. Larger AUM usually means tighter bid-ask spreads and lower closure risk. ETFs under $50M are sometimes liquidated by the issuer.

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NAV

Net Asset Value, the per-share value of everything the ETF owns minus what it owes, calculated end-of-day. The trading price can drift slightly above (premium) or below (discount) NAV during the day.

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Tracking Error

How closely the ETF's returns match its benchmark. Index ETFs aim for near-zero tracking error; high tracking error in an index fund usually signals fees, sampling, or poor management.

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Total Return

Capital gain + reinvested dividends. The headline price chart only shows the price part, total return is what you actually pocket, and is the only fair way to compare ETFs across asset classes.

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About This ETF

Provider
State Street (SPDR)
Asset Class
Equity
Inception Date
Jan 26, 2011
Top Sector
Unclassified Equity (36.1%)

In seeking to track the performance of the S&P Telecom Select Industry Index (the "index"), the fund employs a sampling strategy. It generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index. The index represents the telecommunications segment of the S&P Total Market Index ("S&P TMI").

US ETF data is for educational purposes only. Past performance does not guarantee future returns. Exchange-traded funds carry market risk and may lose value. Read the prospectus and consult a registered investment advisor before investing. Equiscale does not provide investment advice.