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
951 FINAFidelity MSCI North American Subset Index ETF Large Cap Blend 0.09% $1.2B $16M +2.5% — — 0.17% 75
952 EWAiShares MSCI Australia ETF Single Country 0.50% $1.2B $88M −1.6% +9.3% +5.1% 2.96% 66
953 KORUDirexion Daily MSCI South Korea Bull 3X ETF3x Leveraged Equity — $1.2B $415M −15.7% +96.6% +193.2% 8.90% 90
954 STXFStrive 500 ETF Large Cap Blend 0.05% $1.2B $2.4M +2.6% — — 0.50% 75
955 HFSIHartford Strategic Income ETFActive Multisector Bond 0.49% $1.2B $9.8M −2.4% −5.3% −5.7% 5.79% 61
956 ISPYProShares S&P 500 High Income ETFCovered call Covered Call 0.56% $1.2B $4.7M +1.9% +6.5% +6.9% 5.46% 60
957 CAIECalamos Autocallable Income ETFAutocallableActive Put Write & Other Income 0.74% $1.2B $18M +2.2% +0.7% −1.7% 14.24% 54
958 JHMLJohn Hancock Multifactor Large Cap ETF Multi-Factor 0.29% $1.2B $2.0M +2.0% +14.1% +15.3% 0.94% 69
959 RWOState Street SPDR Dow Jones Global Real Estate ETF Real Estate 0.50% $1.2B $5.7M −4.8% +2.8% +2.9% 3.52% 56
960 FTXNFirst Trust Nasdaq Oil & Gas ETF Energy 0.60% $1.2B $57M −1.3% +45.5% +43.2% 1.76% 57
961 SDIVGlobal X SuperDividend ETF High Dividend 0.58% $1.2B $9.9M −3.4% −0.3% +2.1% 9.29% 58
962 SPLBState Street SPDR Portfolio Long Term Corporate Bond ETF Investment-Grade Corporate 0.04% $1.2B $66M −2.8% −9.5% −11.4% 5.91% 92
963 EWHiShares MSCI Hong Kong ETF Single Country 0.50% $1.2B $63M −1.8% +3.8% +2.4% 4.69% 62
964 GOVIInvesco Exchange-Traded Fund Trust II Invesco Equal Weight 0-30 Year Treasury ETF Long-Term Treasury 0.15% $1.2B $6.7M −2.4% −7.9% −8.7% 4.14% 68
965 VCEBVanguard ESG U.S. Corporate Bond ETF Investment-Grade Corporate 0.12% $1.2B $7.6M −1.6% −6.3% −7.0% 4.99% 78
966 PCYInvesco Emerging Markets Sovereign Debt ETF Emerging Markets Bond 0.50% $1.2B $7.6M −3.5% −7.5% −7.3% 6.31% 59
967 QLTAiShares Aaa - A Rated Corporate Bond ETF Investment-Grade Corporate 0.15% $1.2B $9.6M −1.5% −6.2% −6.8% 4.76% 77
968 XAGGEaton Vance Income Opportunities ETF Multisector Bond 0.50% $1.2B $30M −1.8% −3.9% — 6.33% 63
969 CAMAB California Intermediate Municipal ETFActive State Muni 0.27% $1.2B $7.0M −1.3% −3.8% −3.6% 3.35% 67
970 EDIVState Street SPDR S&P Emerging Markets Dividend ETF Emerging Markets 0.49% $1.2B $3.9M −3.8% +2.3% +3.3% 4.37% 66
971 SFGVSequoia Global Value ETFActive Global 0.33% $1.2B $517K −1.1% +12.6% — 2.26% 58
972 FLGVFranklin U.S. Treasury Bond ETFActive Treasury (Broad) 0.09% $1.2B $8.7M −1.4% −5.3% −5.6% 4.31% 71
973 DFSIDimensional International Sustainability Core 1 ETFActive Developed ex-US 0.24% $1.2B $2.9M −2.4% +5.1% +8.6% 2.30% 77
974 GFLWVictoryShares Free Cash Flow Growth ETF Cash Flow & Buybacks 0.39% $1.2B $8.1M +4.2% +21.4% +18.5% 0.33% 64
975 IBDYiShares iBonds Dec 2033 Term Corporate ETF Target Maturity 0.10% $1.2B $5.9M −1.5% −6.2% −6.4% 5.11% 79
976 AGIXKraneShares Trust KraneShares Public-Private AI & Technology ETFActive AI & Robotics 0.99% $1.2B $4.6M +7.0% +33.5% +26.7% 0.90% 44
977 VOTETCW Transform 500 ETF Large Cap Blend 0.05% $1.1B $2.6M +2.8% +14.5% +15.9% 0.91% 74
978 KXIiShares Global Consumer Staples ETF Consumer Staples 0.38% $1.1B $7.1M +0.5% +4.3% +5.4% 2.38% 61
979 PWZInvesco California AMT-Free Municipal Bond ETF State Muni 0.28% $1.1B $31M −3.5% −7.9% −7.2% 4.08% 71
980 QLCNorthern Trust US Quality Large Cap ETF Quality 0.25% $1.1B $4.8M +1.1% +14.2% +18.1% 0.94% 69
981 IMCViShares Morningstar Mid-Cap Value ETF Mid Cap Value 0.06% $1.1B $2.9M −1.2% +14.6% +17.2% 1.94% 78
982 APIEActivePassive International Equity ETF Developed ex-US 0.45% $1.1B $2.3M −0.8% +8.6% +6.4% 3.42% 64
983 FXHFirst Trust Health Care AlphaDEX Fund Health Care 0.61% $1.1B $8.5M +0.7% +14.3% +15.1% 0.56% 54
984 IQDFNorthern Trust International Quality Dividend ETF International Dividend 0.47% $1.1B $1.7M −3.6% +13.1% +19.6% 3.46% 67
985 EWIiShares MSCI Italy ETF Single Country 0.50% $1.1B $28M −7.7% +3.7% +7.7% 3.33% 60
986 IBTKiShares iBonds Dec 2030 Term Treasury ETF Target Maturity 0.07% $1.1B $11M −0.9% −4.3% −4.3% 3.84% 73
987 PTRBPGIM Total Return Bond ETFActive Core Bond 0.49% $1.1B $7.6M −1.8% −5.9% −6.2% 4.92% 60
988 LGLVState Street SPDR US Large Cap Low Volatility Index ETF Low Volatility 0.12% $1.1B $5.9M −2.0% +1.3% +0.2% 2.18% 83
989 OAKMOakmark U.S. Large Cap ETFActive Large Cap Blend 0.59% $1.1B $7.5M −2.5% +6.0% +13.7% 0.63% 53
990 GGLLDirexion Shares ETF Trust Direxion Daily GOOGL Bull 2X ETF2x Single-Stock Leveraged — $1.1B $140M +9.6% +6.8% +62.4% 4.79% 89
991 CERYState Street SPDR Bloomberg Enhanced Roll Yield Commodity Strategy No K-1 ETF Multi-Factor 0.28% $1.1B $9.0M −0.8% +39.8% +36.8% 3.57% 54
992 BUFCAB Conservative Buffer ETFBufferActive Buffer 0.69% $1.1B $3.3M +1.3% +5.7% +7.3% — 52
993 DGCBDimensional Global Credit ETFActive International Bond 0.20% $1.1B $7.0M −0.5% −3.8% −6.0% 5.73% 72
994 IDHQInvesco S&P International Developed Quality ETF Developed ex-US 0.29% $1.1B $11M −0.3% +24.2% +26.6% 1.95% 76
995 MOOVanEck Agribusiness ETF Natural Resources & Agriculture 0.56% $1.1B $34M −7.3% +10.5% +9.9% 2.23% 64
996 DFIPDimensional Inflation-Protected Securities ETFActive TIPS 0.11% $1.1B $8.5M −1.8% −5.6% −7.3% 5.54% 65
997 FLSPFranklin Systematic Style Premia ETFActive Multi-Factor 0.65% $1.1B $4.7M +0.4% +7.1% +9.6% 2.48% 54
998 EMCSXtrackers MSCI Emerging Markets Select ETF Emerging Markets 0.15% $1.1B $4.4M +0.5% +30.0% +30.9% 1.46% 68
999 ETHU2x Ether ETF2xActive Leveraged & Inverse Crypto 2.97% $1.1B $196M −2.1% −53.3% −83.1% 1.78% 49
1000 XLSRState Street US Sector Rotation ETFActive Tactical & Rotation 0.70% $1.1B $3.4M +3.6% +8.6% +12.0% 0.40% 47
951–1,000 of 5,784 funds
Jump to a page

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.