ETF Screener

Filter 5,784 US-listed ETFs by what they cost, what they hold and how they trade. Look-through columns come from each fund's holdings; every fund shows the date its holdings are as of. Free, including the CSV export.

5,784 funds

Results

# Fund Category Fee Assets $ Vol 1M YTD 1Y Yield Score
851 PHYLPGIM Active High Yield Bond ETFActive High Yield Bond 0.39% $1.4B $6.7M −1.9% −5.2% −5.2% 7.13% 65
852 RLYState Street Multi-Asset Real Return ETFActive Allocation 0.50% $1.4B $8.9M −2.7% +17.2% +18.0% 2.92% 55
853 FSEPFT Vest U.S. Equity Buffer ETF - SeptemberBufferActive Buffer 0.85% $1.4B $6.3M +2.4% +12.3% +14.0% — 38
854 EWWiShares MSCI Mexico ETF Single Country 0.50% $1.4B $81M −4.4% +3.8% +9.5% 3.43% 66
855 FJULFT Vest U.S. Equity Buffer ETF - JulyBufferActive Buffer 0.85% $1.4B $4.0M +2.1% +11.0% +12.9% — 36
856 NVDYYieldMax NVDA Option Income Strategy ETFCovered callActive Single-Stock Option Income — $1.4B $24M +1.8% −14.0% −26.1% — 79
857 COMTiShares U.S. ETF Trust iShares GSCI Commodity Dynamic Roll Strategy ETF Broad Commodities 0.48% $1.4B $11M −1.6% +50.6% +38.4% 5.14% 76
858 RAAXVanEck Real Assets ETFActive Allocation 0.55% $1.4B $10.0M −1.7% +16.9% +16.4% 2.00% 58
859 EWGiShares MSCI Germany ETF Single Country 0.49% $1.4B $46M −3.9% −3.6% −3.3% 2.03% 66
860 RDIVInvesco S&P Ultra Dividend Revenue ETF Dividend 0.39% $1.4B $5.1M −6.3% +9.9% +10.3% 3.72% 59
861 DRSKAptus Defined Risk ETFBufferActive Buffer 0.78% $1.4B $5.1M −2.1% −4.2% −7.5% 4.02% 54
862 FSTAFidelity MSCI Consumer Staples Index ETF Consumer Staples 0.08% $1.4B $10M +1.0% +7.2% +6.6% 2.24% 73
863 CATHGlobal X S&P 500 Catholic Values ETF ESG & Values 0.29% $1.4B $3.6M +2.7% +12.6% +13.4% 0.74% 66
864 FFEBFT Vest U.S. Equity Buffer ETF - FebruaryBufferActive Buffer 0.85% $1.4B $2.7M +1.8% +11.6% +14.3% — 35
865 ASHRXtrackers Harvest CSI 300 China A-Shares ETF Single Country 0.65% $1.4B $107M −3.7% −1.4% −1.4% 2.34% 70
866 FVALFidelity Value Factor ETF Multi-Factor 0.15% $1.4B $3.1M +0.8% +13.9% +18.5% 1.49% 73
867 SQSSapient Quality Select ETF Quality 0.80% $1.4B $333K +2.5% — — — 29
868 IYMiShares U.S. Basic Materials ETF Materials 0.37% $1.4B $47M −2.3% +18.1% +19.9% 1.26% 64
869 HODLVanEck Bitcoin ETF Bitcoin — $1.4B $20M +6.7% −6.0% −33.4% — 77
870 FRELFidelity MSCI Real Estate Index ETF Real Estate 0.08% $1.4B $10M −3.7% +2.2% +0.7% 3.54% 78
871 LRGCAB US Large Cap Strategic Equities ETFActive Large Cap Blend 0.39% $1.4B $2.8M +2.4% +12.2% +12.5% 0.52% 58
872 BTCINEOS Bitcoin High Income ETFCovered callActive Covered Call 0.99% $1.4B $22M +3.9% −24.6% −47.3% 30.53% 58
873 SNXXTradr 2X Long SNDK Daily ETF2xActive Single-Stock Leveraged 1.49% $1.4B $869M −16.6% — — — 55
874 UYLDAngel Oak UltraShort Income ETFActive Ultra-Short Bond 0.35% $1.4B $31M −0.2% −0.5% −0.6% 4.61% 72
875 FYCFirst Trust Small Cap Growth AlphaDEX Fund Multi-Factor 0.70% $1.4B $9.2M −0.7% +20.0% +24.2% 0.11% 56
876 BARGraniteShares Gold SharesActive Gold — $1.4B $11M −3.0% −2.9% +3.5% — 73
877 NTSXWisdomTree U.S. Efficient Core FundActive Risk Parity & Return Stacked 0.20% $1.4B $3.1M +1.5% +8.9% +10.0% 1.05% 74
878 SDOGALPS Sector Dividend Dogs ETF Dividend 0.36% $1.4B $1.7M −4.0% +13.8% +14.8% 3.56% 60
879 ILCViShares Morningstar Value ETF Large Cap Value 0.04% $1.4B $2.9M +0.8% +14.3% +19.2% 1.53% 76
880 FTCFirst Trust Large Cap Growth AlphaDEX Fund (based on the Defined Large Cap Growth Index--symbol DEFILGOI) Multi-Factor 0.58% $1.4B $2.8M +5.0% +14.1% +11.9% 0.11% 57
881 CTASimplify Managed Futures Strategy ETFActive Managed Futures 0.75% $1.4B $25M −6.1% +7.1% +2.4% 5.21% 61
882 TAFIAB Tax-Aware Short Duration Municipal ETFActive Short Muni 0.27% $1.4B $23M −0.9% −2.3% −2.5% 3.18% 71
883 IHFiShares U.S. Healthcare Providers ETF Health Care 0.37% $1.4B $37M +0.1% +18.4% +10.8% 0.96% 62
884 PMBSPIMCO Mortgage-Backed Securities Active Exchange-Traded FundActive Mortgage & Securitized — $1.4B $11M −2.8% −6.9% −6.6% 5.01% 73
885 JFLXJPMorgan Flexible Debt ETFActive Multisector Bond 0.45% $1.4B $6.3M −1.0% −2.6% −2.6% 4.70% 61
886 FYXFirst Trust Small Cap Core AlphaDEX Fund Multi-Factor 0.58% $1.3B $6.1M −2.4% +19.7% +23.1% 1.12% 59
887 FAPRFT Vest U.S. Equity Buffer ETF - AprilBufferActive Buffer 0.85% $1.3B $1.6M +1.9% +8.8% +11.0% — 33
888 FTAFirst Trust Large Cap Value AlphaDEX Fund (based on the Defined Large Cap Value Index--symbol DEFILVOI) Multi-Factor 0.58% $1.3B $3.4M −3.0% +13.1% +16.4% 1.80% 57
889 ALAIAlger AI Enablers & Adopters ETFActive AI & Robotics 0.58% $1.3B $3.1M +4.8% +30.6% +23.9% 1.15% 54
890 FTXLFirst Trust Nasdaq Semiconductor ETF Semiconductors 0.60% $1.3B $32M +8.5% +91.8% +109.2% 0.07% 58
891 FDTFirst Trust Developed Markets ex-US AlphaDEX Fund Developed ex-US 0.80% $1.3B $13M −3.5% +16.6% +21.7% 2.97% 57
892 FDECFT Vest U.S. Equity Buffer ETF - DecemberBufferActive Buffer 0.85% $1.3B $826K +2.1% +10.6% +14.5% — 30
893 FETHFidelity Ethereum Fund Ether — $1.3B $58M +0.7% −16.7% −45.3% — 84
894 PIEQPrincipal International Equity ETFActive Developed ex-US 0.48% $1.3B $1.9M −2.3% +8.0% +10.8% 1.19% 56
895 AMDLGraniteShares 2x Long AMD Daily ETF2xActive Single-Stock Leveraged 1.07% $1.3B $146M +40.6% +397.2% +272.8% — 71
896 CORPPIMCO Investment Grade Corporate Bond Index Exchange-Traded Fund Investment-Grade Corporate 0.41% $1.3B $11M −1.8% −6.1% −6.6% 5.17% 64
897 RYLDGlobal X Russell 2000 Covered Call ETFCovered call Covered Call 0.60% $1.3B $8.5M −2.3% +1.8% +1.8% 12.02% 58
898 ILCBiShares Morningstar U.S. Equity ETF Total Market 0.03% $1.3B $1.3M +0.7% +13.1% +15.1% 0.97% 74
899 FNXFirst Trust Mid Cap Core AlphaDEX Fund Multi-Factor 0.62% $1.3B $1.6M −2.9% +8.8% +8.2% 1.01% 52
900 MLRGiShares MSCI USA ETF Large Cap Blend 0.03% $1.3B $5.6M — — — — 76
851–900 of 5,784 funds
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Flows are each fund's latest reported months from SEC filings and may cover different months for different funds; the Flows view shows the month each runs through. Look-through values state their coverage on the fund page.

Fund data comes from each fund's SEC filings and issuer disclosures and is shown with the date it is as of. SEC portfolio and flow filings become public about 60 days after the period they cover. Nothing here is investment advice; see Terms.