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Materials Select Sector SPDR® Fund

Ticker: XLB ISIN: US81369Y1001
Add to portfolio Portfolio analysis in 2min
ETF Low-cost Concentrated top holdings
Morningstar
★★★
TER
0.09%
Fund size
$7.83B
Holdings
26
Top 10
60.1%
Issuer
State Street Investment Management
$53.58 0.07%
Price as of 2026-08-24 · NYSE ARCA

Performance by timeframe

Rolling returns
1 Month +4.26%
6 Months +1.24%
1 Year +19.03%
5 Years +6.89% p.a.+39.48%
10 Years +10.29% p.a.+166.12%
Since inception +8.92% p.a.+746.15%
Calendar year returns
YTD +19.12%
2025 +9.94%
2024 +0.15%
2023 +12.47%
2022 -12.30%
2021 +27.44%

Key stats

AUM
7.83B
Expense ratio
0.09%
Holdings
26
1Y return
19.03%
Volatility (1Y)
17.81%
52-week range
41.63 - 53.90
Section 1

Fund overview

Fund profile data from fundamentals.

In seeking to track the performance of the index, the fund employs a replication strategy. It generally invests substantially all, but at least 95%, of its total assets in the securities comprising the index. The index includes securities of companies from the following industries: chemicals; metals and mining; paper and forest products; containers and packaging; and construction materials. The fund is non-diversified.

Category Natural Resources
Issuer State Street Investment Management
Domicile USA
Section 2

Exposure breakdown

Exposure breakdown shows how the fund is allocated across assets, sectors, regions, and size buckets.

Asset allocation

Stock US
95.11%
Stock non-US
4.81%
Cash
0.08%

Sectors

Basic Materials
87.38%
Consumer Cyclicals
12.62%

Regions

North America
95.18%
Europe Developed
2.69%
United Kingdom
2.12%

Market cap mix

Medium
65.38%
Big
30.19%
Small
4.04%
Section 3

Top holdings

Concentrated top holdings

Top holdings show which underlying securities drive the fund most.

Linde plc Ordinary Shares
14.63%
Nucor Corp
6.62%
Newmont Goldcorp Corp
6.47%
Freeport-McMoran Copper & Gold Inc
5.80%
Steel Dynamics Inc
4.69%
Vulcan Materials Company
4.53%
Sherwin-Williams Co
4.44%
CRH PLC
4.39%
Air Products and Chemicals Inc
4.36%
Corteva Inc
4.15%
Section 4

Performance & risk

Historical return and risk indicators over fixed windows.

Returns

YTD return 12.13%
1M return 4.26%
6M return 1.24%
1Y return 19.03%
3Y return 11.00%
5Y return 39.48%
10Y return 10.02%

Risk

Volatility (1Y) 17.81%
Volatility (3Y) 17.02%
Sharpe ratio (3Y) 0.53
Beta 0.88
52-week range 41.63 - 53.90
Section 5

Portfolio characteristics

Fund concentration and composition metrics from source fields.

Overview

Holdings count 26
Top 10 weight 60.08%
Expense ratio 0.09%
Fund size 7.83B
Turnover 3.00%
Avg. market cap 52.42K

Details

Instrument metadata and source update timestamps.

Symbol XLB
Name Materials Select Sector SPDR® Fund
Asset type ETF
Exchange NYSE ARCA
Currency USD
ISIN US81369Y1001
Country USA
Code + exchange XLB.NYSE ARCA
Last price date 2026-06-17
Fundamentals updated 2026-06-18

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