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Sunday, August 23, 2026The Morning Brief →Sign in
XRTSPDR

SPDR S&P Retail ETF

$87.71+1.13% today
779252-WK

In seeking to track the performance of the S&P Retail 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 retail segment of the S&P Total Market Index ("S&P TMI").

Price & daily flows
89.184.880.587.71DAILY NET FLOWAug 25Dec 19Apr 21Aug 21

SOURCE: MARKET TAPE & DAILY CREATION/REDEMPTION RECORDS · 1Y SHOWN · NET −$26M OVER THIS RANGE

The desk’s read

Money is leaving — −$113M walked out over the past month, about 35.1% of the fund's asset base, while the price has returned +2.1% so far this year. At 0.35% a year it is not the cheapest way in — FLOW runs the same ground at 0.25%.

COMPOSED FROM THE FUND’S OWN DAILY RECORDS · UPDATED WITH EACH REFRESH

$321Massets under management
0.35%expense ratio · $35 per $10,000 a year
−$113Mnet flow, trailing month
4.5Mavg daily volume, 30 days
79holdings · US-domiciled
2006listed June 18, 2006 · beta 0.91
The book at a glance
HZO-0.1%TGT+4.5%KMX+1.8%FIVE+5.9%ANF+3.8%SBH+2.1%GO+4.4%REAL-4.5%PAG+0.1%LAD+0.0%CART-2.4%CHWY+0.6%DLTR+2.4%ETSY-0.2%RVLV-1.6%VSXY-1.6%TSCO-0.2%BBY+0.2%DG+2.3%KSS+1.6%ULTA+1.2%WRBY-0.1%CPNG+1.2%AMZN-0.6%ABG-0.3%BBWI-1.0%GRPN-0.1%DDS+4.0%BJ+5.6%CVNA-2.3%UPBD+1.4%AN-0.3%ROST+4.4%URBN+2.2%EYE-2.8%BOOT+3.3%BURL-2.0%PSMT+2.0%BKE+2.7%M+1.1%

CELL SIZE IS PORTFOLIO WEIGHT · COLOR IS TODAY’S MOVE · TOP 40 POSITIONS

HoldingsDownload CSV
#HoldingWeightPriceDay52-wk
1HZOMARINEMAX1.60%$52.20-0.1%
2TGTTARGET1.46%$165.44+4.5%
3KMXCARMAX1.56%$62.13+1.8%
4FIVEFIVE BELOW1.31%$250.24+5.9%
5ANFABERCROMBIE & FITCH1.51%$109.01+3.8%
6SBHSALLY BEAUTY HOLDINGS1.54%$16.57+2.1%
7GOGROCERY OUTLET HOLDING1.54%$11.60+4.4%
8REALRealReal Inc1.85%$11.12-4.5%
9PAGPENSKE AUTOMOTIVE GROUP1.43%$216.87+0.1%
10LADLITHIA MOTORS1.36%$370.73+0.0%
11CARTMAPLEBEAR INC1.64%$49.83-2.4%
12CHWYCHEWY1.40%$24.02+0.6%
13DLTRDOLLAR TREE1.57%$131.48+2.4%
14ETSYETSY1.57%$81.03-0.2%
15RVLVREVOLVE GROUP1.61%$23.76-1.6%

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Sector weights
Consumer Discretionary95.73%
Retail Trade91.78%
Consumer Cyclical77.83%
Consumer Defensive18.09%
Healthcare2.02%
Commercial Services1.53%
Consumer Services1.51%
Distribution Services1.46%
Consumer Non-Durables1.46%
Information Technology1.45%
PORTFOLIO COMPOSITION, LATEST DISCLOSURE
Country weights
United States100%
Bermuda1.42%
PORTFOLIO COMPOSITION, LATEST DISCLOSURE
Performance
1 week+0.2%
1 month+0.8%
3 months+6.3%
6 months-0.4%
YTD+2.1%
1 year+2.8%
3 years

PRICE RETURN, DISTRIBUTIONS NOT REINVESTED

Net flows
1 week−$206M
1 month−$113M
3 months−$372M
YTD−$181M
1 year−$26M

CREATION/REDEMPTION DOLLARS, DAILY RECORDS

Monthly net flows
SepOctNovDecJanFebMarAprMayJunJulAug
DAILY CREATION/REDEMPTION RECORDS, TRAILING TWELVE MONTHS
The risk read
23%realized volatility, 30 days (annualized)
21%realized volatility, 1 year
-13.8%deepest fall from a peak, 1 year
-5.0%where it sits vs. that peak today

The top holding is 1.9% of the book; the top ten carry 17%. Spread across 77+ names, it behaves like roughly 73 equally-weighted positions.

VOLATILITY & DRAWDOWN FROM THE DAILY TAPE · CONCENTRATION FROM THE LATEST DISCLOSED BOOK

Options tape
2Kcalls today
14Kputs today
7.05put/call ratio
2.4Mshares traded
Most-traded holdings, options premiumBullishBearish
AMZN AMAZON $170M$173M
COST COSTCO WHOLESALE$48M$45M
WMT WALMART$31M$42M
TGT TARGET$12M$17M
CVNA CARVANA$11M$11M

TODAY’S OPTIONS PREMIUM IN THE FUND’S UNDERLYING NAMES

InstrumentsHarvest substitutesTrade cost at $1MClient tearsheetStress this fund
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