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
1951 XQQINEOS Boosted Nasdaq-100 High Income ETFCovered callActive Covered Call 0.98% $253M $16M +6.0% — — 15.03% 52
1952 GARYMango Growth ETF Large Cap Growth 0.77% $253M $222K +8.3% +41.5% — 0.04% 26
1953 ETHTProShares Ultra Ether ETF2x Leveraged & Inverse Crypto — $250M $33M −2.2% −56.4% −84.3% 1.39% 68
1954 FDLSInspire Fidelis Multi Factor ETF Multi-Factor 0.66% $250M $1.0M −0.9% +18.2% +21.6% 0.83% 43
1955 ORCXDefiance Daily Target 2X Long ORCL ETF2xActive Single-Stock Leveraged 1.36% $250M $53M −16.4% −62.4% −84.5% — 49
1956 FTXOFirst Trust Nasdaq Bank ETF Financials 0.60% $250M $4.3M −7.8% +2.6% +11.5% 1.98% 42
1957 DBPInvesco DB Precious Metals Fund Precious Metals — $250M $1.0M −3.5% −6.5% +3.4% — 42
1958 IJULInnovator International Developed Power Buffer ETF - JulyBuffer Buffer — $250M $749K −1.6% +7.2% +9.1% — 39
1959 EUHYiShares Euro High Yield Corporate Bond USD Hedged ETF High Yield Bond 0.35% $249M $1.1M −1.2% −2.5% — 7.23% 55
1960 UVXYProShares Ultra VIX Short-Term Futures ETF2x Volatility — $249M $130M −15.6% −54.6% −68.8% — 79
1961 LDRXSGI Enhanced Market Leaders ETF Multi-Factor 0.59% $248M $115K +3.2% +14.1% +16.2% 0.95% 27
1962 TDAQTappAlpha Innovation 100 Growth & Daily Income ETFCovered callActive Covered Call 0.83% $248M $13M +4.2% +6.3% +3.8% 16.26% 43
1963 MPROMonarch ProCap Index ETF Allocation 1.03% $248M $664K +0.0% +4.2% +4.0% 1.88% 23
1964 FXDFirst Trust Consumer Discretionary AlphaDEX Fund Consumer Discretionary 0.60% $248M $571K −0.4% −4.7% −2.2% 0.73% 45
1965 UAUGInnovator U.S. Equity Ultra Buffer ETF - AugustBufferActive Buffer 0.79% $248M $685K +1.6% +8.8% +10.3% — 32
1966 APMUActivePassive Intermediate Municipal Bond ETF National Muni 0.35% $247M $978K −1.3% −4.1% −4.2% 2.59% 47
1967 TAXEIntermediate Municipal Income ETFActive National Muni 0.24% $247M $6.8M −1.7% −4.8% −4.3% 3.85% 63
1968 JIIIJanus Henderson Income ETFActive Multisector Bond 0.54% $247M $4.8M −0.5% −4.1% −5.0% 7.21% 50
1969 EMBXVanEck Emerging Markets Bond ETFActive Emerging Markets Bond 0.76% $246M $1.9M −1.8% −2.0% −0.4% 5.79% 42
1970 PSDMPGIM Short Duration Multi-Sector Bond ETFActive Short-Term Bond 0.40% $246M $2.4M −0.6% −2.5% −2.5% 4.47% 51
1971 SHOCStrive U.S. Semiconductor ETF Semiconductors 0.40% $246M $744K +6.9% +61.4% +68.1% 0.12% 51
1972 FMAGFidelity Magellan ETFActive Large Cap Blend 0.57% $246M $593K +3.8% +7.4% +3.5% 0.00% 39
1973 BVALBluemonte Large Cap Value ETFActive Large Cap Value 0.24% $246M $1.2M +0.1% +13.8% +16.2% 1.16% 40
1974 BJUNInnovator U.S. Equity Buffer ETF - JuneBufferActive Buffer 0.79% $246M $1.1M +2.2% +7.8% +9.8% — 34
1975 SMLVState Street SPDR US Small Cap Low Volatility Index ETF Low Volatility 0.12% $246M $388K −2.5% +15.5% +17.4% 2.40% 68
1976 FCTESMI 3Fourteen Full-Cycle Trend ETFActive Managed Futures 0.85% $245M $600K +5.9% +20.2% +13.5% 0.07% 46
1977 GVLUGotham 1000 Value ETFActive Large Cap Value 0.50% $245M $151K −2.3% +11.8% +7.4% 5.76% 46
1978 EMNTPIMCO Enhanced Short Maturity Active ESG ETFActive Ultra-Short Bond 0.24% $245M $2.4M −0.1% −0.1% −0.2% 3.88% 62
1979 QHYWisdomTree U.S. High Yield Corporate Bond Fund High Yield Bond 0.38% $245M $1.0M −1.5% −4.0% −4.2% 6.40% 53
1980 FAIFirst Trust Bloomberg Artificial Intelligence ETF AI & Robotics 0.65% $245M $3.8M +8.6% +42.1% +41.2% — 43
1981 UDECInnovator U.S. Equity Ultra Buffer ETF - DecemberBuffer Buffer — $244M $453K +1.8% +9.0% +11.9% — 35
1982 UEVMVictoryShares Emerging Markets Value Momentum ETF Emerging Markets 0.45% $244M $175K −2.1% +6.0% +5.9% 3.11% 54
1983 BLGRBluemonte Large Cap Growth ETFActive Large Cap Growth 0.24% $244M $1.1M +5.0% +14.7% +15.6% 0.25% 40
1984 PYPrincipal Exchange-Traded Funds Principal Value ETFActive Large Cap Value 0.15% $243M $1.0M −0.2% +8.7% +8.5% 1.73% 62
1985 PCMMBondBloxx Private Credit CLO ETF Bank Loans & CLOs — $243M $3.3M +0.1% −0.6% −1.1% 6.11% 48
1986 AESRAnfield U.S. Equity Sector Rotation ETF Tactical & Rotation 0.97% $243M $821K +2.2% +18.8% −3.4% 19.37% 31
1987 SPWOSP Funds S&P World (ex-US) ETFActive Developed ex-US 0.55% $243M $2.6M +1.9% +23.0% +21.9% 1.05% 48
1988 FMUBFidelity Municipal Bond Opportunities ETFActive High Yield Muni 0.30% $243M $5.5M −1.9% −4.9% −4.9% 3.74% 57
1989 PBTPInvesco 0-5 Yr US TIPS ETF TIPS 0.07% $243M $946K −0.6% −1.5% −2.4% 4.03% 60
1990 MBSFRegan Floating Rate MBS ETFActive Floating Rate 0.49% $243M $1.4M −0.6% −0.7% −0.2% 4.29% 48
1991 RTHVanEck Retail ETF Consumer Discretionary 0.35% $242M $872K +1.8% +4.2% +5.0% 0.93% 47
1992 JOETVirtus Terranova U.S. Quality Momentum ETF Momentum 0.29% $242M $897K +2.5% +9.8% +6.9% 0.60% 61
1993 INTLMain International ETFActive Allocation 0.84% $242M $480K −1.7% +8.9% +7.6% 3.40% 29
1994 MAYTAllianzIM U.S. Equity Buffer10 May ETFBufferActive Buffer 0.74% $241M $551K +2.0% +9.4% +11.6% — 37
1995 FDIGFidelity Crypto Industry and Digital Payments ETF Fintech & Blockchain 0.39% $241M $1.0M −8.3% +4.3% −28.5% 1.56% 61
1996 BMAYInnovator U.S. Equity Buffer ETF - MayBufferActive Buffer 0.79% $241M $343K +2.2% +9.7% +11.9% — 29
1997 SCJiShares MSCI Japan Small-Cap ETF Single Country 0.50% $241M $4.7M +1.7% +19.9% +21.1% 2.65% 62
1998 EMBDGlobal X Emerging Markets Bond ETFActive Emerging Markets Bond 0.39% $241M $918K −2.2% −5.4% −4.4% 5.97% 47
1999 TOKiShares MSCI Kokusai Fund Developed ex-US 0.25% $241M $678K +1.6% +12.0% +13.7% 1.27% 64
2000 FFOXFundX Future Fund Opportunities ETF Mid Cap Blend 1.02% $240M $515K +1.1% +5.1% +3.2% 1.73% 32
1,951–2,000 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.