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
2151 AFIXAllspring Broad Market Core Bond ETFActive Core Bond 0.20% $194M $307K −1.6% −5.6% −6.4% 5.21% 52
2152 ETHOAmplify Etho Climate Leadership U.S. ETF Clean Energy & Climate 0.45% $194M $313K +2.4% +23.7% +25.6% 0.69% 60
2153 SMCXDefiance Daily Target 2X Long SMCI ETF2xActive Single-Stock Leveraged 1.43% $194M $58M +18.4% −38.4% −87.7% 3.56% 49
2154 MAMBMonarch Ambassador Income Index ETF Allocation 1.15% $194M $926K −2.0% −3.3% −3.3% 2.80% 26
2155 QALTSEI DBi Multi-Strategy Alternative ETFActive Multi-Strategy 0.80% $194M $478K +0.6% +5.9% +2.0% 6.65% 45
2156 GOAUUS Global GO Gold and Precious Metal Miners ETFActive Metals & Mining 0.60% $193M $883K −8.5% +2.4% +3.5% 0.92% 40
2157 BUFSFT Vest Laddered Small Cap Moderate Buffer ETFBufferActive Buffer 1.01% $193M $830K −1.0% +8.5% +9.3% — 17
2158 GMMFiShares Government Money Market ETFActive Ultra-Short Bond 0.20% $192M $2.3M +0.0% +0.1% 0.0% 3.57% 51
2159 GRNBVanEck Green Bond ETF Core Bond 0.20% $192M $887K −1.2% −4.4% −4.7% 4.55% 59
2160 BEEXThe Beehive ETFActive Large Cap Blend 0.84% $191M $454K +1.1% +7.0% +7.1% 0.32% 30
2161 DJIAGlobal X Dow 30 Covered Call ETFCovered call Covered Call 0.60% $191M $1.1M −0.3% +2.3% +2.3% 10.20% 54
2162 IAPRInnovator International Developed Power Buffer ETF AprilBuffer Buffer — $190M $363K −1.3% +8.3% +10.5% — 31
2163 BNDINEOS Enhanced Income Aggregate Bond ETFActive Core Bond 0.58% $190M $1.5M −1.0% −5.2% −5.5% 6.04% 25
2164 UGAUnited States Gasoline Fund, LP Oil — $190M $8.3M +3.6% +137.0% +129.3% — 57
2165 BTCWWisdomTree Bitcoin Fund Bitcoin — $190M $1.2M +6.7% −6.3% −33.6% — 41
2166 VEGNUS Vegan Climate ETF Clean Energy & Climate 0.60% $189M $382K +4.0% +31.1% +31.3% 0.55% 40
2167 UJUNInnovator U.S. Equity Ultra Buffer ETF - JuneBufferActive Buffer 0.79% $189M $514K +1.9% +5.9% +7.7% — 30
2168 QQQYTidal Trust II Defiance Nasdaq 100 Weekly Distribution ETFCovered call Covered Call 1.01% $189M $2.2M +2.6% −4.2% −12.7% 32.87% 29
2169 GINNGoldman Sachs Innovate Equity ETF Internet & Innovation 0.50% $189M $786K +2.4% +12.3% +8.3% 1.12% 58
2170 QBUFInnovator Nasdaq-100 10 Buffer ETF QuarterlyBufferActive Buffer 0.79% $189M $1.7M +1.5% +6.0% +7.6% — 33
2171 FBCVFidelity Blue Chip Value ETFActive Semiconductors 0.57% $189M $717K −0.8% +17.5% +21.8% 2.40% 51
2172 XCORFundX ETF Allocation 1.15% $188M $93K +3.6% +13.2% +15.3% 0.38% 19
2173 IVVMiShares Large Cap Moderate Quarterly Laddered ETFActive Allocation 0.50% $188M $1.3M +1.8% +10.0% +11.5% 0.62% 41
2174 SDFIAB Short Duration Income ETF Short-Term Bond 1.80% $188M $584K −0.7% −2.7% −2.7% 4.59% 20
2175 HFGOHartford Large Cap Growth ETFActive Large Cap Growth 0.59% $187M $713K +5.5% +13.0% +12.3% — 35
2176 USEWCambria US EW ETFActive Unclassified 0.30% $187M $37K +1.3% +11.2% — 0.79% 58
2177 GIGLGoldman Sachs Corporate Bond ETFActive Investment-Grade Corporate 0.29% $187M $3.3M −1.9% −5.9% −6.1% 4.37% 58
2178 TSCVThrivent Small Cap Value ETF Small Cap Value 0.60% $187M $153K −3.6% +11.0% — 0.26% 36
2179 AHLTAmerican Beacon AHL Trend ETFActive Managed Futures 0.96% $187M $1.2M +4.2% +19.6% +23.6% 1.42% 37
2180 HYXFiShares Trust iShares ESG Advanced High Yield Corporate Bond ETF High Yield Bond 0.35% $187M $832K −2.0% −4.6% −4.6% 6.23% 53
2181 MBSAngel Oak Mortgage-Backed Securities ETFActive Mortgage & Securitized 0.49% $186M $2.8M −2.7% −6.3% −6.4% 5.71% 48
2182 XPAYRoundhill S&P 500 Target 20 Managed Distribution ETFCovered callActive Covered Call 0.49% $186M $2.3M +3.0% −1.7% −3.7% 20.58% 52
2183 WAMAWisdomTree US Adaptive Moving Average Fund Tactical & Rotation 0.32% $186M $679K +2.8% — — 0.57% 56
2184 GHYGiShares US & Intl High Yield Corp Bond ETF High Yield Bond 0.40% $186M $572K −2.8% −5.9% −5.9% 6.50% 48
2185 IBHJiShares iBonds 2030 Term High Yield and Income ETF Target Maturity 0.35% $186M $1.3M −1.4% −3.6% −3.5% 6.81% 54
2186 EMMFWisdomTree Emerging Markets Multifactor FundActive Emerging Markets 0.48% $186M $533K −0.6% +20.3% +22.1% 1.87% 51
2187 ITWOProShares Russell 2000 High Income ETFCovered call Covered Call 0.55% $185M $1.1M −2.9% +8.4% +7.7% 7.52% 46
2188 EEMXState Street SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF Emerging Markets 0.30% $185M $255K −0.2% +23.9% +23.8% 1.81% 50
2189 MSMRMcElhenny Sheffield Managed Risk ETFActive Tactical & Rotation 1.06% $183M $414K +2.8% +0.2% +1.8% 2.01% 20
2190 EALTInnovator U.S. Equity 5 to 15 Buffer ETF - QuarterlyBufferActive Buffer 0.69% $183M $956K +2.0% +4.8% +6.2% — 42
2191 FMUNFidelity Systematic Municipal Bond Index ETF National Muni 0.05% $183M $869K −2.0% −6.1% −5.5% 3.51% 71
2192 FRIFirst Trust S&P REIT Index Fund Real Estate 0.50% $183M $1.2M −4.1% +8.0% +6.5% 2.71% 42
2193 PLTMGraniteShares Platinum SharesActive Precious Metals — $183M $2.5M −5.4% −18.0% +0.6% — 47
2194 IFLOVictoryShares International Free Cash Flow ETF Developed ex-US 0.56% $183M $1.6M −2.5% +24.0% +28.0% 1.73% 51
2195 NBDSNeuberger Disrupters ETFActive Internet & Innovation 0.40% $182M $634K +6.2% +18.7% +12.5% 0.32% 53
2196 CWEBDirexion Daily CSI China Internet Index Bull 2X ETF2x Leveraged Equity — $182M $15M +2.7% −52.8% −67.5% 7.96% 61
2197 EWOiShares MSCI Austria ETF Single Country 0.49% $182M $2.9M −9.0% +14.1% +30.2% 2.08% 46
2198 MVFGMonarch Volume Factor Global Unconstrained Index ETF Global 1.41% $182M $390K −1.5% +9.7% +5.8% 1.73% 24
2199 QYLGGlobal X Nasdaq 100 Covered Call & Growth ETFCovered call Covered Call 0.35% $182M $1.4M +4.4% +12.9% +3.4% 16.53% 62
2200 PRCSParnassus Core Select ETFActive Total Market 0.58% $181M $463K +3.1% +8.9% +10.9% 0.12% 33
2,151–2,200 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.