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
1101 DSPYTema S&P 500 Historical Weight ETF StrategyActive Large Cap Blend 0.18% $888M $1.1M +2.0% +15.2% +16.4% 0.92% 67
1102 RSPHInvesco S&P 500 Equal Weight Health Care ETF Health Care 0.40% $887M $7.4M +4.7% +18.0% +24.3% 0.59% 63
1103 PJUNInnovator U.S. Equity Power Buffer ETF - JuneBufferActive Buffer 0.79% $887M $4.1M +1.8% +6.3% +8.0% — 42
1104 SDVDFT Vest SMID Rising Dividend Achievers Target Income ETFCovered callActive Covered Call 0.85% $885M $8.4M −2.3% +2.3% +2.0% 8.51% 68
1105 EVMOEaton Vance Mortgage Opportunities ETF Mortgage & Securitized 0.45% $882M $7.4M −1.4% −4.8% −4.6% 5.24% 60
1106 JDVLJohn Hancock Disciplined Value Select ETFActive Multi-Factor 0.56% $880M $3.4M +0.8% +18.6% +20.5% 1.44% 47
1107 NOEQNorthern Trust US Equity ETF Total Market 0.12% $876M $423 +2.4% — — 0.41% 47
1108 ARKFARK Blockchain & Fintech Innovation ETFActive Fintech & Blockchain 0.75% $871M $5.1M +6.4% −0.1% −19.1% 0.09% 44
1109 BBEMJPMorgan BetaBuilders Emerging Markets Equity ETF Emerging Markets 0.15% $870M $1.5M −0.9% +19.9% +18.1% 4.61% 69
1110 AUSFGlobal X Adaptive U.S. Factor ETF Tactical & Rotation 0.27% $868M $2.9M −3.5% +5.9% +6.4% 2.80% 76
1111 SCHJSchwab 1-5 Year Corporate Bond ETF Short-Term Bond 0.03% $868M $8.0M −0.7% −3.2% −3.1% 4.61% 84
1112 FDDFirst Trust STOXX European Select Dividend Income Fund Europe 0.56% $868M $3.5M −8.3% +6.4% +15.9% 5.67% 54
1113 MYCHSSGA Active Trust State Street My2028 Corporate Bond ETFActive Investment-Grade Corporate 0.15% $867M $2.4M −0.3% −1.9% −1.8% 4.35% 70
1114 EEMAiShares MSCI Emerging Markets Asia ETF Emerging Markets 0.49% $866M $13M −0.5% +22.5% +22.7% 1.34% 63
1115 EISiShares MSCI Israel ETF Single Country 0.59% $860M $4.1M −3.2% +7.5% +17.6% 1.57% 51
1116 BILZPIMCO Ultra Short Government Active ETFActive Ultra-Short Bond 0.14% $858M $21M +0.0% −0.0% −0.1% 3.81% 76
1117 PIDInvesco International Dividend Achievers ETF International Dividend 0.53% $858M $1.5M −2.8% −1.3% +1.3% 3.61% 52
1118 BGDVBahl & Gaynor Dividend ETFActive Dividend 0.45% $857M $2.2M +1.1% +12.6% +13.3% 0.93% 52
1119 XONEBondBloxx Bloomberg One Year Target Duration US Treasury ETF Treasury (Broad) 0.03% $857M $6.6M −0.1% −0.8% −0.9% 3.96% 79
1120 TFLRT. Rowe Price Floating Rate ETFActive Floating Rate 0.61% $857M $7.3M −0.7% −2.0% −2.2% 6.54% 55
1121 FLGBFranklin FTSE United Kingdom ETF Single Country 0.09% $853M $2.9M −2.2% +6.0% +9.1% 2.96% 71
1122 AVREAvantis Real Estate ETFActive Real Estate 0.17% $852M $4.5M −3.0% +2.5% +1.7% 3.09% 69
1123 IBDZiShares iBonds Dec 2034 Term Corporate ETF Target Maturity 0.10% $851M $4.3M −1.8% −6.5% −6.7% 5.13% 76
1124 NBCRNeuberger Core Equity ETFActive Total Market 0.29% $848M $1.4M +2.2% +10.2% +11.5% 0.41% 59
1125 PNOVInnovator U.S. Equity Power Buffer ETF - NovemberBuffer Buffer — $844M $3.7M +2.2% +10.5% +12.1% — 61
1126 ISHGiShares 1-3 Year International Treasury Bond ETF Short-Term Treasury 0.35% $844M $2.9M −2.7% −2.1% −2.4% 1.48% 63
1127 FLBLFranklin Senior Loan ETFActive Bank Loans & CLOs 0.45% $843M $11M −1.4% −3.0% −4.6% 7.61% 61
1128 MSOSAdvisorShares Pure US Cannabis ETFActive Cannabis 0.78% $839M $26M −10.1% −8.1% −19.6% — 37
1129 SHYMiShares Short Duration High Yield Muni Active ETFActive High Yield Muni 0.40% $839M $14M −1.3% −3.7% −3.5% 4.43% 57
1130 TPYPTortoise North American Pipeline ETFActive MLPs & Midstream 0.40% $838M $1.6M −3.3% +17.6% +14.6% 3.30% 61
1131 BABInvesco Taxable Municipal Bond ETF National Muni 0.28% $838M $11M −2.4% −6.7% −7.0% 4.47% 66
1132 AOKiShares Core 30/70 Conservative Allocation ETF Allocation 0.15% $836M $9.7M −0.7% +0.9% +0.5% 3.51% 63
1133 EPOLiShares MSCI Poland ETF Single Country 0.59% $836M $21M −2.9% +24.5% +34.3% 3.36% 54
1134 TILCThrivent International Large Cap ETF Developed ex-US 0.52% $835M $1.6M −2.4% — — — 61
1135 FLCAFranklin FTSE Canada ETF Single Country 0.09% $834M $2.5M −1.9% +9.2% +14.8% 1.75% 71
1136 IEOiShares U.S. Oil & Gas Exploration & Production ETF Energy 0.37% $833M $25M +1.6% +61.0% +55.0% 1.52% 59
1137 THYFT. Rowe Price U.S. High Yield ETFActive High Yield Bond 0.50% $828M $958K −1.5% −4.3% −4.4% 6.96% 50
1138 RGEFRockefeller Global Equity ETFActive Global 0.55% $828M $273K +2.8% +16.0% +18.3% 0.94% 47
1139 CMDTPIMCO Commodity Strategy Active Exchange-Traded FundActive Broad Commodities 0.65% $825M $2.4M −9.3% +16.6% +16.6% 11.90% 51
1140 FEMFirst Trust Emerging Markets AlphaDEX Fund Emerging Markets 0.80% $824M $3.3M −0.2% +21.3% +22.7% 2.16% 50
1141 PMAYInnovator U.S. Equity Power Buffer ETF - MayBufferActive Buffer 0.79% $821M $827K +1.7% +7.7% +9.6% — 36
1142 SFLOVictoryShares Small Cap Free Cash Flow ETF Cash Flow & Buybacks 0.49% $821M $7.4M −0.3% +30.5% +32.0% 0.76% 62
1143 DOLWisdomTree True Developed International Fund Developed ex-US 0.48% $820M $1.2M −3.2% +11.6% +17.2% 2.54% 64
1144 NANRState Street SPDR S&P North American Natural Resources ETF Natural Resources & Agriculture 0.35% $819M $2.1M −3.1% +28.1% +32.7% 1.63% 70
1145 JETSU.S. Global Jets ETF Travel & Leisure 0.60% $815M $118M −1.4% −2.2% +10.2% 0.85% 61
1146 EQALInvesco Russell 1000 Equal Weight ETF Equal Weight 0.20% $812M $2.2M −1.4% +11.4% +11.3% 1.73% 73
1147 KOKUXtrackers MSCI Kokusai Equity ETF Developed ex-US 0.09% $811M $9K +1.4% +11.7% +13.6% 1.30% 66
1148 IGEiShares North American Natural Resources ETF Natural Resources & Agriculture 0.37% $807M $11M −2.2% +28.1% +30.6% 1.87% 72
1149 SAMTStrategas Macro Thematic Opportunities ETFActive Tactical & Rotation 0.66% $805M $8.0M +2.1% +10.1% +9.5% 0.64% 63
1150 ZALTInnovator U.S. Equity 10 Buffer ETF - QuarterlyBufferActive Buffer 0.69% $802M $3.7M +1.2% +6.8% +8.7% — 51
1,101–1,150 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.