SPDR INDEX SHARES FUNDS (ACIM)

Spółka zarządzająca · ARCX · Seria S000036082 · Wyświetl na SEC EDGAR ↗

Dane dotyczące aktywów nie są jeszcze dostępne dla tego funduszu.

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Przepływy funduszy (zgłoszone przez SEC)

Ostatni miesiąc (Mar 2026)
+$28.2M
Koniec kwartału Mar 2026
+$118.3M
Ostatnie 12 miesięcy
+$267.1M

Kwi 2025 – Mar 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Pełny skład 2 950 akcji

NazwaCUSIP Wartość % Saldo Kategoria Kraj
NVIDIA Corp 67066G104 $59.1M 4,16 338 786 EC US
Apple Inc 037833100 $52.4M 3,70 206 656 EC US
Microsoft Corp 594918104 $37.1M 2,61 100 220 EC US
State Street Global Advisors 857492706 $30.4M 2,14 30 351 694 STIV US
Amazon.com Inc 023135106 $26.6M 1,88 127 740 EC US
Alphabet Inc 02079K305 $21.7M 1,53 75 534 EC US
Alphabet Inc 02079K107 $21.5M 1,52 75 065 EC US
Broadcom Inc 11135F101 $19.5M 1,37 62 950 EC US
Taiwan Semiconductor Manufacturing Co Ltd 874039100 $19.4M 1,37 57 477 EC TW
Meta Platforms Inc 30303M102 $17.7M 1,25 31 004 EC US
Tesla Inc 88160R101 $14.7M 1,04 39 621 EC US
JPMorgan Chase & Co 46625H100 $12.9M 0,91 43 956 EC US
Exxon Mobil Corp 30231G102 $11.8M 0,83 69 470 EC US
Eli Lilly & Co 532457108 $10.3M 0,72 11 156 EC US
Berkshire Hathaway Inc 084670702 $9.0M 0,64 18 838 EC US
Samsung Electronics Co Ltd 796050888 $8.4M 0,59 2 968 EC KR
Visa Inc 92826C839 $8.3M 0,58 27 383 EC US
Johnson & Johnson 478160104 $7.6M 0,53 30 916 EC US
Costco Wholesale Corp 22160K105 $7.5M 0,53 7 567 EC US
Chevron Corp 166764100 $7.5M 0,53 36 440 EC US
ASML Holding NV $7.4M 0,52 5 739 EC NL
Walmart Inc 931142103 $7.4M 0,52 59 511 EC US
Tencent Holdings Ltd $6.7M 0,47 108 900 EC KY
Bank of America Corp 060505104 $6.6M 0,46 134 980 EC US
Caterpillar Inc 149123101 $6.3M 0,45 8 934 EC US
RTX Corp 75513E101 $6.2M 0,44 32 026 EC US
Cisco Systems Inc 17275R102 $5.7M 0,40 73 137 EC US
AbbVie Inc 00287Y109 $5.7M 0,40 26 054 EC US
TJX Cos Inc/The 872540109 $5.6M 0,40 35 126 EC US
Goldman Sachs Group Inc/The 38141G104 $5.6M 0,39 6 618 EC US
Home Depot Inc/The 437076102 $5.6M 0,39 16 990 EC US
Applied Materials Inc 038222105 $5.5M 0,39 16 208 EC US
Netflix Inc 64110L106 $5.3M 0,38 55 457 EC US
Mastercard Inc 57636Q104 $5.1M 0,36 10 146 EC US
Procter & Gamble Co/The 742718109 $5.0M 0,36 34 945 EC US
Wells Fargo & Co 949746101 $5.0M 0,35 62 228 EC US
Citigroup Inc 172967424 $4.9M 0,35 43 338 EC US
Micron Technology Inc 595112103 $4.9M 0,34 14 440 EC US
Shell PLC $4.8M 0,34 101 700 EC GB
Merck & Co Inc 58933Y105 $4.8M 0,34 39 783 EC US
American Express Co 025816109 $4.7M 0,33 15 408 EC US
Morgan Stanley 617446448 $4.5M 0,32 27 588 EC US
SK hynix Inc $4.5M 0,32 8 582 EC KR
Palantir Technologies Inc 69608A108 $4.5M 0,31 30 483 EC US
Coca-Cola Co/The 191216100 $4.3M 0,31 57 182 EC US
Advanced Micro Devices Inc 007903107 $4.2M 0,30 20 761 EC US
HSBC Holdings PLC $4.1M 0,29 253 193 EC GB
Thermo Fisher Scientific Inc 883556102 $4.0M 0,28 8 040 EC US
International Business Machines Corp 459200101 $3.9M 0,28 16 150 EC US
Novartis AG $3.9M 0,28 26 009 EC CH
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