ETF:SPLB | ETF Holdings Page 10 | State Street(R) SPDR(R) Portfolio Long Term Corporate Bond ETF

Companies included in SPLB Page 10

This is SPLB's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 901–1,000 of 3,055.

TickerIssuerShares ownedUnitReported weight
SMURFIT KAPPA TREASURYSMURFIT KAPPA TREASURY488,000PA0.035298%
ELCENTERGY LOUISIANA LLC485,000PA0.035293%
TOTALENERGIES CAP INTLTOTALENERGIES CAP INTL668,000PA0.035291%
MASS INSTITUTE OF TECHMASS INSTITUTE OF TECH481,000PA0.035255%
ALIBABA GROUP HOLDINGALIBABA GROUP HOLDING472,000PA0.035202%
KLACKLA CORP521,000PA0.035193%
HUMHUMANA INC522,000PA0.035111%
ARCH CAPITAL GRP US INCARCH CAPITAL GRP US INC508,000PA0.035077%
BASIN ELECTRIC PWR COOPBASIN ELECTRIC PWR COOP480,000PA0.035057%
BURLINGTN NORTH SANTA FEBURLINGTN NORTH SANTA FE580,000PA0.034955%
BHP BILLITON FIN USA LTDBHP BILLITON FIN USA LTD483,000PA0.034934%
CON EDISON CO OF NY INCCON EDISON CO OF NY INC585,000PA0.034932%
ABBVABBVIE INC475,000PA0.034923%
CATCATERPILLAR INC541,000PA0.034922%
AEP TRANSMISSION CO LLCAEP TRANSMISSION CO LLC493,000PA0.034876%
PEPPEPSICO INC582,000PA0.034875%
MSFTMICROSOFT CORP595,000PA0.034842%
IBM CORPIBM CORP486,000PA0.034809%
CSXCSX CORP558,000PA0.034801%
VIRGINIA ELEC & POWER COVIRGINIA ELEC & POWER CO491,000PA0.034764%
METAMETA PLATFORMS INC600,041PA0.034763%
KINDER MORGAN ENER PARTKINDER MORGAN ENER PART500,000PA0.034723%
ONCOR ELECTRIC DELIVERYONCOR ELECTRIC DELIVERY486,000PA0.034721%
RTXRTX CORP705,000PA0.034703%
ORACLE CORPORACLE CORP461,000PA0.03468%
CATCATERPILLAR INC665,000PA0.034584%
TRAVELERS COS INCTRAVELERS COS INC483,000PA0.034567%
TIME WARNER CABLE LLCTIME WARNER CABLE LLC441,000PA0.034527%
MARSH & MCLENNAN COS INCMARSH & MCLENNAN COS INC439,000PA0.03452%
MIDAMERICAN ENERGY COMIDAMERICAN ENERGY CO546,000PA0.034501%
EASTERN ENERGY GASEASTERN ENERGY GAS490,000PA0.034501%
NEXTERA ENERGY CAPITALNEXTERA ENERGY CAPITAL490,000PA0.034496%
BOEING COBOEING CO419,000PA0.034493%
ALABAMA POWER COALABAMA POWER CO430,000PA0.034472%
NBCUNIVERSAL MEDIA LLCNBCUNIVERSAL MEDIA LLC554,000PA0.034448%
CAGCONAGRA BRANDS INC541,000PA0.034388%
OCCIDENTAL PETROLEUM COROCCIDENTAL PETROLEUM COR450,000PA0.034357%
GE HEALTHCARE TECH INCGE HEALTHCARE TECH INC432,000PA0.034349%
BURLINGTN NORTH SANTA FEBURLINGTN NORTH SANTA FE519,000PA0.034345%
AEP TEXAS INCAEP TEXAS INC475,000PA0.034325%
FTVFORTIVE CORPORATION572,000PA0.034289%
HONAHONEYWELL AEROSPACE INC465,000PA0.034282%
EMBRAER NETHERLANDS FINAEMBRAER NETHERLANDS FINA480,000PA0.034281%
L3HARRIS TECH INCL3HARRIS TECH INC479,000PA0.034259%
ALIBABA GROUP HOLDINGALIBABA GROUP HOLDING560,000PA0.034249%
ARIZONA PUBLIC SERVICEARIZONA PUBLIC SERVICE464,000PA0.034247%
GMGENERAL MOTORS CO487,000PA0.034151%
ENERGY TRANSFER LPENERGY TRANSFER LP455,000PA0.034116%
WESTERN MIDSTREAM OPERATWESTERN MIDSTREAM OPERAT540,000PA0.034093%
MSFTMICROSOFT CORP564,000PA0.034081%
NKENIKE INC580,000PA0.034001%
TMOTHERMO FISHER SCIENTIFIC470,000PA0.03399%
BRISTOL-MYERS SQUIBB COBRISTOL-MYERS SQUIBB CO640,000PA0.033949%
COLUMBIA PIPELINE GROUPCOLUMBIA PIPELINE GROUP464,000PA0.033929%
JPMORGAN CHASE & COJPMORGAN CHASE & CO461,000PA0.033891%
BAT CAPITAL CORPBAT CAPITAL CORP488,000PA0.03386%
TOTALENERGIES CAP INTLTOTALENERGIES CAP INTL705,000PA0.033848%
CRMSALESFORCE INC663,000PA0.033841%
ESTEE LAUDER CO INCESTEE LAUDER CO INC518,000PA0.033806%
ONCOR ELECTRIC DELIVERYONCOR ELECTRIC DELIVERY473,000PA0.033718%
GILDGILEAD SCIENCES INC465,000PA0.033709%
TRGPTARGA RESOURCES CORP465,000PA0.033689%
HARTFORD INSUR GRP INC/THARTFORD INSUR GRP INC/T626,000PA0.033669%
KAISER FOUNDATION HOSPITKAISER FOUNDATION HOSPIT617,000PA0.033667%
NOVARTIS CAPITAL CORPNOVARTIS CAPITAL CORP470,000PA0.033659%
NOVARTIS CAPITAL CORPNOVARTIS CAPITAL CORP470,000PA0.033655%
CHUBB INA HOLDINGS LLCCHUBB INA HOLDINGS LLC534,000PA0.033646%
AMERICAN WATER CAPITAL CAMERICAN WATER CAPITAL C473,000PA0.033588%
PROLOGIS LPPROLOGIS LP481,000PA0.033547%
QCOMQUALCOMM INC670,000PA0.033544%
KINDER MORGAN INCKINDER MORGAN INC486,000PA0.033543%
LYB INT FINANCE IIILYB INT FINANCE III635,000PA0.03353%
SIMON PROPERTY GROUP LPSIMON PROPERTY GROUP LP450,000PA0.0335%
LINCOLN NATIONAL CORPLINCOLN NATIONAL CORP412,000PA0.033494%
KINDER MORGAN INCKINDER MORGAN INC451,000PA0.033487%
COMCAST CORPCOMCAST CORP547,000PA0.03345%
RIO TINTO FIN USA PLCRIO TINTO FIN USA PLC530,000PA0.033429%
CANADIAN NATL RAILWAYCANADIAN NATL RAILWAY531,000PA0.033334%
FDXFEDEX CORP513,000PA0.033315%
TOLEDO HOSPITAL/THETOLEDO HOSPITAL/THE470,000PA0.033301%
METLIFE INCMETLIFE INC540,434PA0.033293%
UNPUNION PACIFIC CORP499,000PA0.033285%
JOHNSON CONTROLS INTL PLJOHNSON CONTROLS INTL PL511,000PA0.033251%
ATOATMOS ENERGY CORP549,000PA0.033209%
MARSH & MCLENNAN COS INCMARSH & MCLENNAN COS INC470,000PA0.033187%
ROGERS COMMUNICATIONS INROGERS COMMUNICATIONS IN525,000PA0.033163%
PYPLPAYPAL HOLDINGS INC518,000PA0.033137%
ATOATMOS ENERGY CORP445,000PA0.033132%
DISWALT DISNEY COMPANY/THE541,000PA0.033127%
PARAMOUNT GLOBALPARAMOUNT GLOBAL734,000PA0.033122%
DUKE ENERGY OHIO INCDUKE ENERGY OHIO INC462,000PA0.033122%
NATWEST GROUP PLCNATWEST GROUP PLC455,000PA0.033117%
DUKE ENERGY PROGRESS LLCDUKE ENERGY PROGRESS LLC542,000PA0.033083%
COMMONWEALTH EDISON COCOMMONWEALTH EDISON CO475,000PA0.033059%
SIMON PROPERTY GROUP LPSIMON PROPERTY GROUP LP661,000PA0.033055%
SAN DIEGO G & ESAN DIEGO G & E440,000PA0.033013%
PFEPFIZER INC450,000PA0.033011%
TAKEDA PHARMACEUTICALTAKEDA PHARMACEUTICAL670,000PA0.032915%
VIRGINIA ELEC & POWER COVIRGINIA ELEC & POWER CO457,000PA0.032869%
CITIGROUP INCCITIGROUP INC410,000PA0.032857%

SEC N-PORT snapshot as of .

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