State Street(R) SPDR(R) MSCI USA Gender Diversity ETF (SHE) is an ETF managed by State Street (SPDR). Its largest position is VERIZON COMMUNICATIONS INC (VZ), representing 4.49% of fund assets.
State Street(R) SPDR(R) MSCI USA Gender Diversity ETF Portfolio Holdings
Source: SEC Form N-PORT institutional portfolio disclosures
- Ticker:
- SHE
- Type:
- ETF
- Manager:
- State Street (SPDR)
- Total Assets:
- —
- Report Date:
- Mar 31, 2026
- Filing Date:
- May 29, 2026
| Holding | Weight | Market Value | Shares |
|---|---|---|---|
|
-
VERIZON COMMUNICATIONS INC
|
4.49% | $12,055,429.60 | 240,148 |
|
-
NVIDIA CORP
|
4.42% | $11,879,081.60 | 68,114 |
|
-
MICROSOFT CORP
|
4.37% | $11,752,157.16 | 31,748 |
|
-
MICRON TECHNOLOGY INC
|
3.87% | $10,399,390.88 | 30,782 |
|
-
ADVANCED MICRO DEVICES INC
|
3.56% | $9,563,244.30 | 47,010 |
|
-
JPMORGAN CHASE & CO
|
2.99% | $8,044,099.36 | 27,346 |
|
-
AT&T INC.
|
2.61% | $7,001,229.95 | 241,505 |
|
-
ORACLE CORP
|
2.22% | $5,975,313.98 | 40,618 |
|
-
Walt Disney Co
|
2.22% | $5,969,680.82 | 61,939 |
|
-
INTEL CORP
|
1.82% | $4,892,295.93 | 110,861 |
|
-
ExxonMobil Holdings Corp
|
1.80% | $4,824,960.74 | 28,439 |
|
-
JOHNSON & JOHNSON
|
1.61% | $4,331,965.68 | 17,722 |
|
-
COSTCO WHOLESALE CORP /NEW
|
1.59% | $4,283,652.57 | 4,299 |
|
-
VISA INC.
|
1.58% | $4,245,565.28 | 14,047 |
|
-
ANALOG DEVICES INC
|
1.53% | $4,115,459.04 | 12,936 |
|
-
CHEVRON CORP
|
1.38% | $3,717,786.10 | 17,969 |
|
-
INTUIT INC.
|
1.35% | $3,615,129.18 | 8,361 |
|
-
Accenture plc
|
1.34% | $3,605,705.36 | 18,184 |
|
-
BANK OF AMERICA CORP /DE/
|
1.32% | $3,548,512.50 | 72,790 |
|
-
AbbVie Inc.
|
1.27% | $3,419,377.78 | 15,722 |
|
-
ServiceNow, Inc.
|
1.16% | $3,106,912.35 | 29,717 |
|
-
PROCTER & GAMBLE Co
|
1.10% | $2,967,664.24 | 20,546 |
|
-
ADOBE INC.
|
1.08% | $2,914,043.04 | 11,988 |
|
-
Merck & Co., Inc.
|
1.08% | $2,913,544.09 | 24,221 |
|
-
CATERPILLAR INC
|
1.07% | $2,865,720.70 | 4,045 |
|
-
CORNING INC /NY
|
1.03% | $2,757,063.69 | 20,277 |
|
-
WESTERN DIGITAL CORP
|
0.99% | $2,652,965.92 | 9,808 |
|
-
Booking Holdings Inc.
|
0.96% | $2,585,136.48 | 614 |
|
-
WELLS FARGO & COMPANY/MN
|
0.89% | $2,402,948.24 | 30,184 |
|
-
UNITEDHEALTH GROUP INC
|
0.89% | $2,397,697.99 | 8,861 |
|
-
LINDE PLC
|
0.88% | $2,371,220.08 | 4,783 |
|
-
GE Vernova Inc.
|
0.85% | $2,279,141.90 | 2,611 |
|
-
LOWES COMPANIES INC
|
0.82% | $2,191,733.28 | 9,276 |
|
-
COCA COLA CO
|
0.80% | $2,136,852.90 | 28,098 |
|
-
TJX COMPANIES INC /DE/
|
0.77% | $2,074,503.00 | 12,990 |
|
-
CITIGROUP INC
|
0.77% | $2,074,382.31 | 18,291 |
|
-
Philip Morris International Inc.
|
0.76% | $2,049,885.32 | 12,398 |
|
-
TE Connectivity plc
|
0.72% | $1,947,648.36 | 9,318 |
|
-
GILEAD SCIENCES, INC.
|
0.69% | $1,843,168.25 | 13,225 |
|
-
ABBOTT LABORATORIES
|
0.68% | $1,837,690.33 | 17,899 |
|
-
THERMO FISHER SCIENTIFIC INC.
|
0.67% | $1,797,525.21 | 3,657 |
|
-
MORGAN STANLEY
|
0.65% | $1,749,214.53 | 10,629 |
|
-
AMERICAN EXPRESS CO
|
0.65% | $1,745,612.08 | 5,771 |
|
-
ELECTRONIC ARTS INC.
|
0.62% | $1,679,277.19 | 8,237 |
|
-
Eaton Corp plc
|
0.61% | $1,633,836.56 | 4,568 |
|
-
STARBUCKS CORP
|
0.57% | $1,526,613.60 | 17,040 |
|
-
HONEYWELL INTERNATIONAL INC
|
0.51% | $1,380,591.24 | 6,108 |
|
-
Parker-Hannifin Corp
|
0.51% | $1,375,983.88 | 1,537 |
|
-
CONOCOPHILLIPS
|
0.51% | $1,373,328.00 | 10,404 |
|
-
MARRIOTT INTERNATIONAL INC /MD/
|
0.48% | $1,285,058.03 | 3,929 |
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