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
1751 FXEInvesco CurrencyShares Euro Currency Trust Currency — $326M $10M −3.5% −4.7% −3.6% — 62
1752 IWLGNYLIM Winslow Large Cap Growth ETFActive Large Cap Growth 0.50% $325M $912K +6.6% +8.9% +7.6% 0.00% 42
1753 HEQTSimplify Hedged Equity ETFHedgedActive Hedged Equity 0.43% $325M $2.7M +2.1% +8.6% +11.0% 1.15% 56
1754 INCEFranklin Income Equity Focus ETFActive Allocation 0.29% $323M $3.3M −2.2% +9.0% +11.9% 5.02% 70
1755 PABDiShares Trust iShares Paris-Aligned Climate Optimized MSCI World ex USA ETF Clean Energy & Climate 0.12% $323M $162K −1.9% +4.6% +5.6% 3.08% 67
1756 DRLLStrive U.S. Energy ETF Energy 0.41% $322M $629K +0.4% +49.1% +48.1% 1.98% 37
1757 BSJUInvesco BulletShares 2030 High Yield Corporate Bond ETF Target Maturity 0.42% $321M $2.3M −1.6% −4.0% −3.8% 6.86% 54
1758 CLOXEldridge AAA CLO ETF Bank Loans & CLOs 0.20% $320M $4.2M 0.0% +0.0% +0.0% 4.79% 64
1759 OCTWAllianzIM U.S. Equity Buffer20 Oct ETFBufferActive Buffer 0.74% $320M $1.6M +1.6% +8.6% +10.2% — 42
1760 IDNAiShares Genomics Immunology and Healthcare ETF Biotech & Health Innovation 0.47% $320M $7.0M +11.3% +61.0% +69.9% 0.67% 61
1761 EVSBEaton Vance Ultra-Short Income ETF Ultra-Short Bond 0.17% $319M $6.3M −0.2% −0.4% −0.6% 4.53% 64
1762 IDLVInvesco S&P International Developed Low Volatility ETF Developed ex-US 0.25% $319M $674K −4.2% +0.7% +3.1% 5.09% 67
1763 BWZState Street SPDR Bloomberg Short Term International Treasury Bond ETF Short-Term Treasury 0.35% $319M $2.2M −2.6% −2.7% −2.6% 2.13% 58
1764 ISMDInspire Small/Mid Cap ETF Mid Cap Blend 0.53% $319M $1.5M −2.4% +20.7% +19.8% 1.43% 53
1765 FDTXFidelity Disruptive Technology ETFActive Internet & Innovation 0.50% $319M $2.3M +11.3% +47.6% +42.6% — 54
1766 GREKGlobal X MSCI Greece ETF Single Country 0.56% $318M $3.5M −8.4% +20.0% +20.5% 2.47% 40
1767 GALState Street Global Allocation ETFActive Allocation 0.35% $318M $705K −0.9% +6.8% +6.8% 3.21% 48
1768 KJANInnovator U.S. Small Cap Power Buffer ETF - JanuaryBuffer Buffer — $318M $378K −0.5% +10.2% +11.9% — 35
1769 IBTPiShares iBonds Dec 2034 Term Treasury ETF Target Maturity 0.07% $318M $2.8M −1.8% −6.7% −6.9% 4.22% 54
1770 IREDefiance Daily Target 2X Long IREN ETF2xActive Single-Stock Leveraged — $317M $71M −38.3% −72.1% — — 72
1771 EDOWFirst Trust Dow 30 Equal Weight ETF Large Cap Value 0.50% $316M $618K +0.2% +9.4% +12.9% 1.25% 43
1772 LCTDiShares World ex U.S. Carbon Transition Readiness Aware Active ETFActive Clean Energy & Climate 0.22% $315M $1.1M −1.9% +5.6% +6.6% 3.38% 73
1773 SPXSDirexion Daily S&P 500 Bear 3x ETF−3x Inverse Equity — $315M $326M −9.0% −34.1% −36.7% 4.93% 80
1774 UAEiShares Trust iShares MSCI UAE ETF Single Country 0.59% $314M $5.4M −1.6% +1.1% +0.2% 4.41% 47
1775 BRIEMFS Blended Research International Equity ETFActive Developed ex-US 0.34% $314M $8.5M −1.9% +14.2% — 0.36% 69
1776 MORTVanEck Mortgage REIT Income ETF Mortgage & Securitized 0.43% $314M $15M −17.3% −26.1% −26.1% 18.39% 46
1777 ADMEAptus Behavioral Momentum ETFActive Momentum 0.79% $314M $449K +2.4% +11.3% +11.0% 0.35% 33
1778 BTALAGF U.S. Market Neutral Anti-Beta FundActive Long/Short & Market Neutral 1.40% $313M $8.0M −2.3% −16.3% −21.8% 2.97% 55
1779 ECONColumbia Research Enhanced Emerging Economies ETF Emerging Markets 0.47% $313M $669K −1.0% +28.5% +28.3% 1.38% 54
1780 BUSABrandes U.S. Value ETFActive Large Cap Value 0.60% $312M $907K −3.1% +9.4% +14.1% 1.55% 45
1781 TPLCTimothy Plan US Large/Mid Cap Core ETF Mid Cap Blend 0.52% $311M $1.2M +1.5% +9.7% +7.3% 0.83% 53
1782 VMSBVoya Multi-Sector Income ETFActive Multisector Bond 0.45% $310M $273K −2.0% −4.4% — 4.21% 42
1783 GDXYYieldMax Gold Miners Option Income Strategy ETFCovered callActive Single-Stock Option Income — $310M $8.5M −8.2% −37.1% −44.9% — 59
1784 CAFXCongress Intermediate Bond ETFActive Core Bond 0.35% $310M $576K −1.0% −4.2% −4.4% 4.18% 44
1785 EQINColumbia U.S. Equity Income ETF High Dividend 0.35% $309M $832K −2.7% +10.3% +12.7% 1.97% 54
1786 DPSTDirexion Daily Regional Banks Bull 3X ETF3x Leveraged Equity — $308M $26M −18.2% +6.1% +7.7% 1.96% 69
1787 PSQOPalmer Square Credit Opportunities ETF Investment-Grade Corporate — $308M $1.6M −1.4% −0.3% −0.3% 4.60% 44
1788 HYZDWisdomTree Trust WisdomTree Interest Rate Hedged High Yield Bond Fund High Yield Bond 0.43% $307M $2.3M −0.6% −0.5% −0.4% 5.88% 53
1789 SMHXVanEck Fabless Semiconductor ETF Semiconductors 0.35% $307M $3.3M +10.5% +61.5% +52.3% 0.01% 59
1790 VGHYVanguard High-Yield Active ETFActive Investment-Grade Corporate 0.22% $307M $3.4M −1.9% −4.1% −3.9% 6.27% 62
1791 SRVRPacer Data & Infrastructure Real Estate ETF Infrastructure 0.49% $306M $2.8M −2.8% +1.9% −7.6% 4.73% 52
1792 SDSIAmerican Century Short Duration Strategic Income ETF Short-Term Bond 0.32% $306M $2.6M −0.5% −2.1% −2.2% 4.79% 56
1793 AVLDirexion Shares ETF Trust Direxion Daily AVGO Bull 2X ETF2x Single-Stock Leveraged — $306M $56M −1.5% −14.7% −34.4% 34.56% 72
1794 SMOTVanEck Morningstar SMID Moat ETF Quality 0.49% $305M $664K −2.8% +4.9% +4.9% 1.31% 51
1795 USNZXtrackers Net Zero Pathway Paris Aligned US Equity ETF Clean Energy & Climate 0.10% $305M $7K +3.1% +14.5% +16.7% 0.89% 58
1796 EMHCState Street SPDR Bloomberg Emerging Markets USD Bond ETF Emerging Markets Bond 0.23% $305M $1.4M −2.4% −5.9% −4.7% 6.38% 61
1797 UJULInnovator U.S. Equity Ultra Buffer ETF - JulyBufferActive Buffer 0.79% $304M $471K +1.8% +8.0% +9.5% — 31
1798 WCLDWisdomTree Cloud Computing Fund Software & Cloud 0.45% $304M $25M +12.5% +24.9% +23.4% — 73
1799 RXIiShares Global Consumer Discretionary ETF Consumer Discretionary 0.37% $303M $5.6M −0.2% −7.8% −8.5% 1.50% 54
1800 MFUSPIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF Multi-Factor 0.29% $303M $773K −0.1% +15.8% +16.9% 1.42% 61
1,751–1,800 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.