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
2051 ENORiShares MSCI Norway ETF Single Country 0.53% $223M $6.8M −5.2% +22.9% +23.3% 5.20% 51
2052 ASLVAllspring Special Large Value ETFActive Large Cap Value 0.35% $223M $904K +0.1% +8.7% +10.4% 0.80% 48
2053 SNTHMRP SynthEquity ETFActive Treasury Bills & Floating 0.96% $222M $1.8M +1.6% +8.3% −2.7% 12.05% 21
2054 DXIVDimensional International Vector Equity ETFActive Developed ex-US 0.30% $222M $1.3M −2.7% +10.3% +15.9% 2.44% 65
2055 UWMProShares Ultra Russell20002x Leveraged Equity 0.95% $222M $17M −6.3% +21.2% +18.5% 0.86% 68
2056 HYBINEOS Enhanced Income Credit Select ETFActive Investment-Grade Corporate 0.68% $222M $973K −0.0% −4.1% −4.8% 8.31% 21
2057 AXTXTradr 2X Long AXTI Daily ETF2xActive Single-Stock Leveraged 1.49% $221M $81M +1.0% — — — 46
2058 IVALAlpha Architect International Quantitative Value ETF Developed ex-US 0.38% $221M $758K −1.5% +15.3% +19.0% 2.88% 57
2059 JHPIJohn Hancock Preferred Income ETFActive Preferred Stock 0.54% $221M $1.2M −2.2% −4.8% −6.7% 6.16% 46
2060 TUSBThrivent Ultra Short Bond ETFActive Ultra-Short Bond 0.20% $220M $2.3M −0.0% +0.2% −0.1% 4.17% 61
2061 QQMGInvesco ESG NASDAQ 100 ETF ESG & Values — $220M $967K +6.2% +23.7% +24.2% 0.34% 44
2062 GDMNWisdomTree Efficient Gold Plus Gold Miners Strategy FundActive Risk Parity & Return Stacked 0.45% $220M $4.6M −9.3% −9.2% −0.9% 2.97% 58
2063 AMZYYieldMax AMZN Option Income Strategy ETFCovered callActive Single-Stock Option Income — $219M $2.5M +1.8% −20.2% −27.5% — 48
2064 SGLCSGI U.S. Large Cap Core ETF Large Cap Blend 0.85% $219M $649K +3.0% +20.9% +25.4% 0.19% 33
2065 CAPEDoubleLine Shiller CAPE U.S. Equities ETFActive Large Cap Blend 0.65% $218M $1.3M −1.4% −2.3% −1.9% 1.61% 45
2066 FBOTFidelity Disruptive Automation ETFActive AI & Robotics 0.50% $218M $399K +4.5% +18.8% +17.6% 0.39% 49
2067 IBTQiShares iBonds Dec 2035 Term Treasury ETF Target Maturity 0.07% $218M $2.8M −2.0% −7.1% −7.2% 4.11% 52
2068 TCAITortoise AI Infrastructure ETFActive AI & Robotics 0.65% $217M $2.4M +3.0% +59.6% +48.7% 0.03% 41
2069 FNKFirst Trust Mid Cap Value AlphaDEX Fund Multi-Factor 0.74% $217M $830K −4.8% +8.2% +9.0% 1.63% 41
2070 BDECInnovator U.S. Equity Buffer ETF - DecemberBufferActive Buffer 0.79% $216M $256K +2.5% +12.0% +15.0% — 28
2071 DSCODoubleLine Securitized Credit ETFActive Mortgage & Securitized 0.50% $216M $1.1M −1.3% — — 3.80% 46
2072 EJULInnovator Emerging Markets Power Buffer ETF - JulyBuffer Buffer — $216M $1.1M −0.1% +5.6% +7.6% — 42
2073 FOXYSimplify Currency Strategy ETFActive Currency 0.81% $216M $2.1M −0.7% +1.0% +0.0% 8.70% 42
2074 CSDInvesco S&P Spin-Off ETF IPOs & Special Situations 0.65% $215M $1.1M +0.3% +29.2% +35.1% 0.12% 39
2075 AINPAllspring Income Plus ETFActive Multisector Bond 0.36% $215M $171K −1.4% −4.3% −4.9% 5.96% 42
2076 KAPRInnovator U.S. Small Cap Power Buffer ETF - AprilBuffer Buffer — $214M $1.4M −0.8% +12.5% +14.9% — 43
2077 VIXYProShares VIX Short-Term Futures ETF Volatility — $214M $39M −10.2% −36.4% −49.5% — 70
2078 PSPInvesco Global Listed Private Equity ETF Multi-Strategy 1.80% $214M $1.4M −5.7% −15.8% −18.0% 5.56% 39
2079 FLAUFranklin FTSE Australia ETF Single Country 0.09% $214M $469K −1.5% +8.9% +5.1% 3.12% 58
2080 STCESchwab Crypto Thematic Natural Language Processing ETF Other Coins 0.30% $214M $10M −9.4% +0.3% −37.4% 1.89% 76
2081 SRHQSRH U.S. Quality GARP ETF Quality 0.35% $213M $34K −0.5% +21.0% +23.8% 0.72% 48
2082 QIDProShares UltraShort QQQ−2x Inverse Equity 0.95% $213M $470M −12.2% −36.6% −38.4% 6.54% 76
2083 IFVFirst Trust Dorsey Wright International Focus 5 ETF Developed ex-US 1.14% $213M $1.3M −5.8% −1.9% −1.1% 2.07% 19
2084 PFIXSimplify Interest Rate Hedge ETF Multisector Bond 0.50% $213M $15M +15.4% +28.8% +27.5% 6.01% 38
2085 NAPRInnovator Growth-100 Power Buffer ETF - AprilBuffer Buffer — $211M $359K +1.9% +14.1% +16.1% — 32
2086 BSMWInvesco BulletShares 2032 Municipal Bond ETF Target Maturity Muni 0.18% $211M $2.1M −1.8% −5.6% −5.4% 3.41% 66
2087 JHMBJohn Hancock Mortgage-Backed Securities ETFActive Mortgage & Securitized 0.39% $211M $1.7M −2.0% −5.8% −6.0% 5.04% 54
2088 FCALFirst Trust California Municipal High income ETFActive High Yield Muni 0.65% $211M $1.9M −2.2% −6.1% −5.4% 3.65% 42
2089 FLJHFranklin FTSE Japan Hedged ETF Single Country 0.09% $211M $1.9M +4.5% +24.2% +23.9% 5.85% 73
2090 COMDirexion Auspice Broad Commodity Strategy ETF Broad Commodities — $210M $2.6M −2.3% +18.6% +20.6% 2.34% 48
2091 VSDAVictoryShares Dividend Accelerator ETFAccelerated Accelerated & Barrier 0.35% $210M $610K −1.7% +7.7% +6.1% 2.56% 65
2092 DAXGlobal X Funds Global X DAX Germany ETF Single Country 0.20% $210M $1.0M −4.1% −4.4% −4.3% 2.16% 51
2093 WAGNPabrai Wagons ETFActive Developed ex-US — $209M $2.1M −1.4% — — — 43
2094 BFEBInnovator U.S. Equity Buffer ETF - FebruaryBuffer Buffer — $209M $2.1M +2.1% +12.4% +15.2% — 46
2095 XJRiShares ESG Select Screened S&P Small-Cap ETF ESG & Values 0.12% $209M $428K −2.4% +14.2% +14.6% 0.96% 60
2096 ECOWPacer Emerging Markets Cash Cows 100 ETF Emerging Markets 0.70% $209M $1.3M −1.1% +10.5% +11.0% 5.61% 44
2097 XDECFT Vest U.S. Equity Enhance & Moderate Buffer ETF - DecemberBufferActive Buffer 0.85% $209M $552K +1.0% +7.5% +9.6% — 23
2098 FXGFirst Trust Consumer Staples AlphaDEX Fund Consumer Staples 0.63% $208M $833K −4.2% −1.9% −4.4% 2.12% 36
2099 MBCEMonarch Blue Chips Elite Index ETF Semiconductors 1.01% $208M $617K +7.5% — — 0.10% 27
2100 SNSRGlobal X Funds Global X Internet of Things ETF Internet & Innovation 0.68% $208M $541K +3.9% +31.5% +22.4% 0.47% 36
2,051–2,100 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.