XLY
etfConsumer Discretionary Select Sector SPDR
$114.61
-0.83 (-0.72%)
Pre-market · quoted 51s ago
Fair
43%
ETF quality Fair · 43%
- Cost —
- Tracking —
- Diversification Concentrated
- Size Large
A read on the fund wrapper: cost, how tightly it tracks NAV, diversification, and size. For reading at a glance, not investment advice.
What the indicators say
Bearish 0 of 5 trend signals bullish
Momentum · RSI 14
Neutral
48
0oversold 30overbought 70100
RSI 48 — momentum is balanced between buyers and sellers.
EMA 21
$117.09
Below
Near-term trend is down
SMA 50
$117.03
Below
Medium-term trend is down
SMA 200
$117.62
Below
Long-term trend is down
50 / 200-day
Death cross
50-day below the 200-day — bearish
Supertrend
$120.94
Downtrend
Price is below the Supertrend band — bearish
A mechanical reading of the chart’s indicators — not investment advice.
Key statsas of Jun 12
The day
Low $114.82
High $117.02
- Open
- $117.02
- +0.62%
- Close
- $116.60
- +0.26%
52-week range
52w low $104.81
52w high $125.01
- Current
- $116.60
- Prev close
- $116.30
Volume
0
avg
2× avg
- Today
- 7.66M
- 3-mo avg
- 8.69M
Notable recent eventspast year
- Mar 18 New 6-month low (-11% off peak)
Large daily moves, new 6-month lows, year-over-year fundamentals swings, and reported leadership changes — pulled from the data this app already holds, never investment advice.
About this fund
Fund details for XLY have not synced yet. They are pulled on
demand — hit Refresh above to fetch them now.
Trailing returnsfrom price history
| Window | Return | Annualised |
|---|---|---|
| 1 month | +0.00% | |
| 3 months | -1.99% | |
| Year to date | -2.35% | |
| 1 year | +4.47% | |
| 3 years | +36.39% | +10.90% |
| 5 years | +28.93% | +5.21% |
| 10 years | +186.98% | +11.12% |
| Since inception | +815.63% | +8.36% |
Cumulative price returns from XLY’s stored daily closes. Distributions are not folded in; see Distributions below.
Growth of $10,000vs ^SPX
A $10,000 investment scaled by the fund’s daily closes since inception. The dashed line tracks the same amount in ^SPX from the fund’s first trading day forward.
Fund profilesynced from SEC 37d ago
- Net assets
- $21.4B
- Holdings
- 50
- As of
- 2026-03-31
Asset mix
- Equity
- 99.9%
- Cash & equivalents
- 0.1%
Issuer sectors
- Corporate
- 99.9%
- Registered fund
- 0.1%
Geography
- United States
- 96.0%
- LR
- 1.7%
- Switzerland
- 0.9%
- PA
- 0.7%
- JE
- 0.4%
- Bermuda
- 0.2%
Top holdingsholdings as of Mar 31
- 1 Amazon.com Inc 23.53% $5.0B
- 2 Tesla Inc 18.97% $4.1B
- 3 Home Depot Inc/The 5.94% $1.3B
- 4 McDonald's Corp 4.49% $963.6M
- 5 TJX Cos Inc/The 4.41% $946.8M
- 6 Booking Holdings Inc 3.38% $724.5M
- 7 Lowe's Cos Inc 3.30% $707.6M
- 8 Starbucks Corp 2.54% $544.9M
- 9 O'Reilly Automotive Inc 1.93% $414.9M
- 10 Marriott International Inc/MD 1.79% $384.0M
- 11 Ross Stores Inc 1.74% $374.1M
- 12 Hilton Worldwide Holdings Inc 1.74% $372.2M
- 13 Royal Caribbean Cruises Ltd 1.72% $369.6M
- 14 General Motors Co 1.68% $359.5M
- 15 NIKE Inc 1.57% $336.0M
- 16 DoorDash Inc 1.40% $299.7M
- 17 AutoZone Inc 1.39% $298.8M
- 18 Airbnb Inc 1.33% $285.6M
- 19 Ford Motor Co 1.13% $241.4M
- 20 Carvana Co 1.11% $237.4M
- 21 Yum! Brands Inc 1.07% $230.5M
- 22 Chipotle Mexican Grill Inc 1.04% $222.6M
- 23 eBay Inc 1.02% $219.6M
- 24 Garmin Ltd 0.94% $202.5M
- 25 DR Horton Inc 0.92% $197.4M
Distributions
Distributions history for XLY has not synced yet. It is
pulled on demand — hit Refresh above to fetch it now.
Recent SEC filingssynced from SEC 37d ago
- N-CSRS Shareholder report
- NPORT-P Portfolio holdings report
- NPORT-P Portfolio holdings report
- N-CSR/A Shareholder report (amended)
- 485BPOS Prospectus
- N-CEN Annual fund census
- N-CSR Shareholder report
- NPORT-P Portfolio holdings report
- NPORT-P Portfolio holdings report
- N-CSRS Shareholder report
- NPORT-P Portfolio holdings report
- NPORT-P Portfolio holdings report
- 485BPOS Prospectus
- N-CEN Annual fund census
- N-CSR Shareholder report
- NPORT-P Portfolio holdings report
- NPORT-P Portfolio holdings report
- N-CSRS Shareholder report