Performance is historical and does not guarantee future results; current performance may be lower or higher. Investment returns/principal value will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. Most recent month-end performance is available in the Performance topic. Past performance does not guarantee future results.
Sector SPDRs are subject to risk similar to those of stocks including those regarding short selling and margin account maintenance. All ETFs are subject to risk, including possible loss of principal. Sector ETF products are also subject to sector risk and non-diversified risk, which will result in greater price fluctuations than the overall market.
The charts are standard price and volume charts. Volume on the horizontal axis with volume in green on up days (periods of time) and in red on down days (periods of time). Price movement can be found on the vertical axis.
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As of June 24, 2002 the Select Sector SPDR Trust instituted the following changes: The Basic Industries Select Sector SPDR Fund changed its name to the Materials Select Sector SPDR Fund. The Consumer Services Select Sector SPDR Fund changed its name to the Health Care Select Sector SPDR Fund. The Cyclical/Transportation Select Sector SPDR Fund changed its name to the Consumer Discretionary Select Sector SPDR Fund.
Select Sector SPDR shareholders are subject to risks similar to those of holders of other sector stock portfolios. One primary consideration is that the general level of stock prices may decline, and thus the value of Select Sector SPDRs may decline. A Select Sector SPDR also may be adversely affected by the performance of the specific sector or group of industries upon which it is based. You can expect that shares in a Select Sector SPDR will move up or down in value with the value of its related Select Sector Index. In addition, the overall depth and liquidity of the secondary market in these shares may fluctuate.
Although Select Sector SPDRs are designed to provide investment results that, before expenses, generally correspond to the price and yield performance of their related Select Sector Indexes, the Funds of The Select Sector SPDR Trust may not be able to exactly replicate the performance of the Select Sector Indexes because of expenses and other factors.
Over time, the stock holdings of each Select Sector SPDR may be rebalanced to reflect changes in the composition of its related index. A Select Sector SPDR would incur transaction costs and other expenses as a result of rebalancing. Furthermore, a Select Sector SPDR would realize capital gains or losses from the sale of securities in a rebalancing.
Net long-term capital gains, if any, will be distributed to shareholders as capital gains distributions at least annually.
From a tax standpoint, you should be aware that the Select Sector SPDR Trust is structured as a regulated investment company, and that dividend distributions may not be characterized entirely as ordinary income. You may wish to consult your tax advisor in this regard.
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The Standard & Poor's (S&P) 500 Index is an unmanaged index that tracks the performace of 500 widely held, large-capitalization U.S. stocks. Indices are not managed and do not incur fees or expenses. It is not possible to invest directly in an index.
Change reflects change from previous day closing price.
The S&P 500 ® and Select SPDRs are trademarks of the McGraw-Hill Companies, Inc. and have been licensed for use. The stocks inclued in each sector Index were selected by the compilation agent. Their composition and weighting may differ from that in any similar index published by S&P.
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