ETF:SPLB | ETF Holdings Page 25 | State Street(R) SPDR(R) Portfolio Long Term Corporate Bond ETF

Companies included in SPLB Page 25

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 2,401–2,500 of 3,055.

TickerIssuerShares ownedUnitReported weight
GISGENERAL MILLS INC182,000PA0.013127%
NORTHERN STATES PWR-MINNNORTHERN STATES PWR-MINN161,000PA0.013119%
WMWASTE MANAGEMENT INC210,000PA0.013094%
DTE ELECTRIC CODTE ELECTRIC CO208,000PA0.013059%
WILLIS NORTH AMERICA INCWILLIS NORTH AMERICA INC241,000PA0.013045%
SOUTHERN CO GAS CAPITALSOUTHERN CO GAS CAPITAL229,000PA0.013044%
MASS GENERAL BRIGHAM INCMASS GENERAL BRIGHAM INC219,000PA0.013043%
UNPUNION PACIFIC CORP264,000PA0.013035%
TEXAS HEALTH RESOURCESTEXAS HEALTH RESOURCES310,000PA0.013035%
LLYELI LILLY & CO223,000PA0.013027%
NORTHERN STATES PWR-MINNNORTHERN STATES PWR-MINN161,000PA0.013016%
GOLDMAN SACHS GROUP INCGOLDMAN SACHS GROUP INC164,000PA0.012991%
SAN DIEGO G & ESAN DIEGO G & E167,000PA0.012981%
SOUTHERN CAL EDISONSOUTHERN CAL EDISON253,000PA0.012971%
INTERNATIONAL PAPER COINTERNATIONAL PAPER CO220,000PA0.012969%
MERCK SHARP & DOHME CORPMERCK SHARP & DOHME CORP162,000PA0.012955%
NKENIKE INC222,000PA0.012954%
NORTHERN STATES PWR-MINNNORTHERN STATES PWR-MINN175,000PA0.012941%
UPSUNITED PARCEL SERVICE175,000PA0.01294%
MRKMERCK & CO INC197,000PA0.012936%
CLEVELAND ELECTRIC ILLUMCLEVELAND ELECTRIC ILLUM167,000PA0.012936%
HWMHOWMET AEROSPACE INC162,000PA0.012916%
ONCOR ELECTRIC DELIVERYONCOR ELECTRIC DELIVERY146,000PA0.012914%
JOHNSON CONTROLS INTL PLJOHNSON CONTROLS INTL PL205,000PA0.012912%
CAHCARDINAL HEALTH INC213,000PA0.012906%
MUMICRON TECHNOLOGY INC222,000PA0.012896%
UNIVERSITY OF PENNSYLVANUNIVERSITY OF PENNSYLVAN214,000PA0.012894%
MIDAMERICAN ENERGY COMIDAMERICAN ENERGY CO235,000PA0.012884%
UNION ELECTRIC COUNION ELECTRIC CO256,000PA0.012839%
NTRNUTRIEN LTD175,000PA0.012836%
AMEREN ILLINOIS COAMEREN ILLINOIS CO212,000PA0.01282%
DOVDOVER CORP171,000PA0.012816%
KINDER MORGAN ENER PARTKINDER MORGAN ENER PART160,000PA0.012812%
BROOKFLD FIN LLC/FIN INCBROOKFLD FIN LLC/FIN INC260,000PA0.012791%
ATHENE HOLDING LTDATHENE HOLDING LTD280,000PA0.012765%
FANGDIAMONDBACK ENERGY INC220,000PA0.01275%
CATHOLIC HEALTH SERVICESCATHOLIC HEALTH SERVICES250,000PA0.012748%
UNPUNION PACIFIC CORP202,000PA0.01272%
NOCNORTHROP GRUMMAN CORP174,000PA0.012714%
LINCOLN NATIONAL CORPLINCOLN NATIONAL CORP165,000PA0.012709%
PROV ST JOSEPH HLTH OBLPROV ST JOSEPH HLTH OBL222,000PA0.012693%
CATCATERPILLAR INC155,000PA0.012688%
ONCOR ELECTRIC DELIVERYONCOR ELECTRIC DELIVERY206,000PA0.012686%
RTXRTX CORP188,000PA0.012684%
CANADIAN NATL RAILWAYCANADIAN NATL RAILWAY240,000PA0.012671%
STLDSTEEL DYNAMICS INC259,000PA0.012665%
ARCH CAPITAL GROUP LTDARCH CAPITAL GROUP LTD237,000PA0.012664%
HSBC HOLDINGS PLCHSBC HOLDINGS PLC161,000PA0.012648%
AMZNAMAZON.COM INC310,000PA0.012646%
AT&T INCAT&T INC159,000PA0.012628%
SOUTHERN CALIF GAS COSOUTHERN CALIF GAS CO213,000PA0.012628%
PUBLIC SERVICE COLORADOPUBLIC SERVICE COLORADO216,000PA0.012616%
DUKE ENERGY CAROLINASDUKE ENERGY CAROLINAS159,000PA0.012608%
GPJAGEORGIA POWER CO195,000PA0.012601%
MEDSTAR HEALTH INCMEDSTAR HEALTH INC234,000PA0.012597%
WMWASTE MANAGEMENT INC225,000PA0.012574%
MT SINAI HOSPITALMT SINAI HOSPITAL265,000PA0.012532%
JEFFERIES FIN GROUP INCJEFFERIES FIN GROUP INC165,000PA0.012528%
RPRXROYALTY PHARMA PLC259,000PA0.012528%
INTEGRIS BAPTIST MEDICALINTEGRIS BAPTIST MEDICAL229,000PA0.012496%
MSIMOTOROLA SOLUTIONS INC175,000PA0.012496%
OKEONEOK INC185,000PA0.01249%
CICIGNA GROUP/THE161,000PA0.012474%
UNIVERSITY OF CHICAGOUNIVERSITY OF CHICAGO213,000PA0.012473%
HOAG MEMORIAL HOSPITALHOAG MEMORIAL HOSPITAL220,000PA0.012441%
TOLEDO EDISON COMPANYTOLEDO EDISON COMPANY154,000PA0.012394%
CALIFORNIA INSTITUTE OFCALIFORNIA INSTITUTE OF206,000PA0.012346%
RICE UNIVERSITYRICE UNIVERSITY219,000PA0.01229%
DUKE ENERGY CAROLINASDUKE ENERGY CAROLINAS155,000PA0.012253%
ELVELEVANCE HEALTH INC180,000PA0.012249%
COMMONSPIRIT HEALTHCOMMONSPIRIT HEALTH170,000PA0.012236%
ALLSTATE CORPALLSTATE CORP160,000PA0.012234%
DUKE ENERGY FLORIDA LLCDUKE ENERGY FLORIDA LLC160,000PA0.012201%
VRSKVERISK ANALYTICS INC233,000PA0.012184%
HACKENSACK MERIDIAN HLTHHACKENSACK MERIDIAN HLTH259,000PA0.012175%
WLKWESTLAKE CORP239,000PA0.012173%
MOALTRIA GROUP INC208,000PA0.012169%
DOW CHEMICAL CO/THEDOW CHEMICAL CO/THE206,000PA0.012157%
JNJJOHNSON & JOHNSON215,000PA0.012153%
DIGNITY HEALTHDIGNITY HEALTH182,000PA0.012144%
WISCONSIN ELECTRIC POWERWISCONSIN ELECTRIC POWER165,000PA0.012107%
LYB INT FINANCE IIILYB INT FINANCE III264,000PA0.012105%
FORD MOTOR CREDIT CO LLCFORD MOTOR CREDIT CO LLC160,000PA0.012084%
AT&T INCAT&T INC255,000PA0.012083%
FDXFEDEX CORP200,000PA0.012071%
MAYO CLINICMAYO CLINIC255,000PA0.012061%
OMCOMNICOM GROUP INC185,000PA0.012051%
SAN DIEGO G & ESAN DIEGO G & E240,000PA0.012036%
PSXPHILLIPS 66191,000PA0.012034%
BELL CANADABELL CANADA228,000PA0.012029%
RPMRPM INTERNATIONAL INC173,000PA0.012018%
APPALACHIAN POWER COAPPALACHIAN POWER CO195,000PA0.012017%
FIDELITY NATL INFO SERVFIDELITY NATL INFO SERV223,000PA0.012005%
NSCNORFOLK SOUTHERN CORP197,000PA0.011995%
PLAINS ALL AMER PIPELINEPLAINS ALL AMER PIPELINE197,000PA0.01196%
GEORGETOWN UNIVERSITYGEORGETOWN UNIVERSITY183,000PA0.011958%
SUTTER HEALTHSUTTER HEALTH230,000PA0.011957%
BANNER HEALTHBANNER HEALTH238,000PA0.011957%
PPL ELECTRIC UTILITIESPPL ELECTRIC UTILITIES194,000PA0.011955%
CHEVRON USA INCCHEVRON USA INC161,000PA0.011947%

SEC N-PORT snapshot as of .

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