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
1701 ESNEssential 40 Stock ETFActive Large Cap Blend 0.70% $348M $1.2M +0.5% +19.8% +18.9% 0.76% 41
1702 PINKSimplify Health Care ETFActive Health Care 0.51% $348M $3.5M −0.1% +5.3% +17.3% 0.78% 47
1703 HAWXiShares Currency Hedged MSCI ACWI ex U.S. ETF Developed ex-US 0.35% $348M $670K +0.7% +15.4% +17.3% 2.48% 43
1704 IVVWiShares S&P 500 BuyWrite ETFCovered call Covered Call 0.25% $348M $1.8M +0.1% −1.1% −2.4% 18.32% 56
1705 LQDWiShares Investment Grade Corporate Bond BuyWrite Strategy ETFCovered call Covered Call 0.34% $347M $3.2M −1.9% −8.4% −10.4% 12.60% 57
1706 FCORFidelity Corporate Bond ETFActive Investment-Grade Corporate 0.36% $345M $2.9M −1.8% −6.3% −6.7% 4.87% 58
1707 BINTBluemonte Global Equity ETFActive Global 0.23% $345M $1.6M −0.3% +14.6% +17.1% 1.48% 49
1708 BUFBInnovator Laddered Allocation Buffer ETFBuffer Buffer 0.89% $344M $1.4M +2.4% +11.6% +14.1% — 30
1709 IEZiShares U.S. Oil Equipment & Services ETF Energy 0.37% $344M $8.5M −9.0% +29.9% +40.9% 1.22% 50
1710 PATNPacer Nasdaq International Patent Leaders ETF Developed ex-US 0.65% $344M $5.5M +0.5% +31.6% +32.0% 1.77% 46
1711 AQLTiShares MSCI Global Quality Factor ETF Global 0.20% $344M $868K +3.6% +15.4% +17.6% 0.96% 63
1712 XFIVBondBloxx Bloomberg Five Year Target Duration US Treasury ETF Treasury (Broad) 0.05% $344M $3.9M −1.4% −5.6% −5.7% 4.06% 71
1713 GOVZiShares 25+ Year Treasury STRIPS Bond ETF Long-Term Treasury 0.10% $343M $21M −5.6% −16.2% −20.0% 3.32% 69
1714 MSTXTidal Trust II Defiance Daily Target 2x Long MSTR ETF2xActive Single-Stock Leveraged 1.31% $341M $140M +34.8% −52.6% −91.7% — 55
1715 TMFGMotley Fool Global Opportunities ETFActive Global 0.85% $340M $315K +0.1% +1.5% +0.9% 0.27% 29
1716 PICBInvesco International Corporate Bond ETF International Bond 0.50% $340M $1.2M −3.0% −7.2% −6.6% 3.60% 48
1717 BGGGBaillie Gifford Long Term Global Growth ETFActive Global 0.70% $340M $1.4M +2.2% — — — 40
1718 XDTERoundhill S&P 500 0DTE Covered Call Strategy ETFCovered callActive Covered Call 0.97% $339M $5.8M +1.7% −2.4% −12.7% 29.78% 41
1719 RFGInvesco S&P MidCap 400 Pure Growth ETF Mid Cap Growth 0.35% $338M $498K +1.3% +15.0% +17.3% 0.11% 55
1720 CGUICapital Group Ultra Short Income ETFActive Ultra-Short Bond 0.18% $338M $5.4M −0.1% −0.3% −0.3% 3.89% 68
1721 HYBBiShares BB Rated Corporate Bond ETF Investment-Grade Corporate 0.25% $338M $2.1M −1.8% −4.2% −4.0% 6.10% 62
1722 BUFGFT Vest Buffered Allocation Growth ETFBufferActive Buffer 1.13% $338M $742K +1.8% +10.0% +12.0% — 21
1723 OPPJWisdomTree Trust WisdomTree Japan Opportunities Fund Single Country 0.58% $337M $3.3M −0.1% +27.4% +38.1% 1.07% 50
1724 RGLORussell Investments Exchange Traded Funds Russell Investments Global Equity ETFActive Global 0.49% $337M $1.0M +0.9% +13.0% +16.4% 0.56% 57
1725 PFFVGlobal X Variable Rate Preferred ETF Floating Rate 0.25% $335M $3.3M −1.3% −3.1% −6.8% 8.23% 58
1726 ACLCAmerican Century Large Cap Equity ETF Large Cap Blend 0.39% $335M $555K +3.0% +11.3% +12.2% 0.55% 48
1727 CSPFCohen & Steers Preferred and Income Opportunities Active ETFActive Preferred Stock 0.59% $335M $2.6M −1.7% −2.7% −3.3% 5.57% 47
1728 SGDJSprott Junior Gold Miners ETF Metals & Mining — $335M $3.6M −8.3% +5.3% +13.2% 7.95% 54
1729 IBCAiShares iBonds Dec 2035 Term Corporate ETF Target Maturity 0.10% $334M $3.3M −1.9% −7.0% −7.2% 5.08% 71
1730 HAPVanEck Natural Resources ETF Natural Resources & Agriculture 0.41% $333M $2.3M −3.9% +23.4% +28.3% 1.84% 65
1731 SHEState Street SPDR MSCI USA Gender Diversity ETF ESG & Values 0.20% $333M $416K +1.7% +20.3% +22.4% 1.10% 59
1732 GCCWisdomTree Enhanced Commodity Strategy FundActive Broad Commodities 0.57% $332M $1.8M −1.6% +26.2% +21.9% 5.26% 57
1733 QTOPiShares Nasdaq Top 30 Stocks ETF Technology 0.20% $332M $6.5M +6.8% +24.4% +25.4% 0.31% 60
1734 JHCPJohn Hancock Core Plus Bond ETFActive Core Bond 0.36% $332M $6.3M −1.7% −5.6% −6.2% 4.59% 59
1735 HYFIAB High Yield ETFActive High Yield Bond 0.40% $332M $2.3M −1.5% −4.0% −4.3% 6.82% 55
1736 EWQiShares MSCI France ETF Single Country 0.50% $332M $16M −7.0% −7.7% −6.3% 3.17% 58
1737 BSMSInvesco BulletShares 2028 Municipal Bond ETF Target Maturity Muni 0.18% $330M $2.6M −1.2% −2.6% −2.4% 2.84% 68
1738 FFUTFidelity Managed Futures ETFActive Managed Futures 0.80% $329M $3.0M +0.5% +21.5% +22.7% 1.72% 44
1739 FTSDFranklin Short Duration U.S. Government ETFActive Short-Term Treasury 0.25% $329M $3.2M −0.8% −2.4% −2.3% 4.44% 56
1740 WQTMWisdomTree Quantum Computing Fund Quantum Computing 0.45% $329M $5.6M −1.0% +20.3% — — 62
1741 VALQAmerican Century U.S. Quality Value ETF Quality 0.29% $328M $396K −0.5% +6.2% +8.7% 1.72% 57
1742 DBAWXtrackers MSCI All World ex US Hedged Equity ETFHedged Hedged Equity 0.40% $328M $1.3M +0.5% +16.2% +18.6% 1.69% 73
1743 MRSKToews Agility Shares Managed Risk ETFActive Tactical & Rotation 0.95% $328M $746K +2.5% +9.0% +11.6% 0.34% 28
1744 PBWInvesco WilderHill Clean Energy ETF Clean Energy & Climate 0.64% $327M $11M −8.2% −7.2% −12.9% 2.36% 58
1745 DAPRFT Vest U.S. Equity Deep Buffer ETF - AprilBufferActive Buffer 0.85% $327M $359K +1.6% +7.0% +8.8% — 23
1746 OBILUS Treasury 12 Month Bill ETF Treasury Bills & Floating 0.15% $327M $2.7M −0.1% −0.6% −0.5% 3.66% 48
1747 ISVLiShares International Developed Small Cap Value Factor ETF International Small Cap 0.31% $327M $761K −2.1% +11.5% +16.9% 3.04% 65
1748 UIVMVictoryShares International Value Momentum ETF Developed ex-US 0.35% $327M $541K −5.1% +12.6% +19.1% 4.34% 62
1749 RFVInvesco S&P MidCap 400 Pure Value ETF Mid Cap Value 0.35% $327M $946K −2.5% +13.1% +12.6% 1.65% 55
1750 CDXSimplify High Yield ETFActive High Yield Bond 0.25% $326M $2.5M −0.4% −8.4% −10.6% 8.23% 42
1,701–1,750 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.