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S
SPTM
State Street SPDR Portfolio S&P 1500 Composite Stock Market ETF
91.5
2
USD
+0.10%
Settore:
Finanziario
Base:
USD
Valuta di Profitto:
USD
Intervallo Giornaliero
Intervallo Annuale
Variazione giornaliera
+0.10%
Variazione Mensile
+5.61%
Variazione di 6 mesi
+9.96%
Variazione Annuale
+9.96%
Chiusura Precedente
91.4
3
Open
91.6
9
Minimo
91.5
2
High
91.6
9
Volume
89
Mercati
US ETFs
SPTM
Apri il grafico completo
Full chart
Panoramica
Tutti gli asset
Mappa di calore
Principali partecipazioni
Market Value
Shares
Weight %
NBTB
NBT Bancorp Inc
395.727 K
9 531.000
0.003%
STRA
Strategic Education Inc
395.627 K
4 933.000
0.003%
ACMR
ACM Research Inc
394.421 K
9 998.000
0.003%
IOSP
Innospec Inc
393.109 K
5 136.000
0.003%
PRGS
Progress Software Corp
390.807 K
9 097.000
0.003%
SRPT
Sarepta Therapeutics Inc
390.115 K
18.128 K
0.003%
KN
Knowles Corp
390.112 K
18.204 K
0.003%
MTX
Minerals Technologies Inc
390.080 K
6 400.000
0.003%
FLO
Flowers Foods Inc
386.186 K
35.495 K
0.003%
CHCO
City Holding Co
385.731 K
3 236.000
0.003%
DRH
DiamondRock Hospitality Co
385.343 K
43.007 K
0.003%
BANR
Banner Corp
383.855 K
6 126.000
0.003%
HAYW
Hayward Holdings Inc
383.191 K
24.802 K
0.003%
HTH
Hilltop Holdings Inc
381.553 K
11.242 K
0.003%
CENX
Century Aluminum Co
380.751 K
9 718.000
0.003%
YOU
Clear Secure Inc
380.267 K
10.840 K
0.003%
PTEN
Patterson-UTI Energy Inc
380.097 K
62.209 K
0.003%
INSW
International Seaways Inc
378.107 K
7 788.000
0.003%
AZTA
Azenta Inc
377.701 K
11.356 K
0.003%
RAMP
LiveRamp Holdings Inc
376.700 K
12.826 K
0.003%
1
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Notizie
Large Caps - Big Opportunity
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Q1 2026 Dividend Check-In: Highest Quarterly Hike Percentage Since 2019
SPTM: Well-Positioned For Slower Growth And A More Dovish Fed (NYSEARCA:SPTM)
Capital Markets Outlook Q4 2025: Kicking The Can Down The Tightrope
Equity Outlook: From Caution To Complacency?
SPTM: One Less Thing To Worry About (Rating Upgrade) (NYSEARCA:SPTM)
IYY: Diversification, Growth, And What Investors Should Know (NYSEARCA:IYY)
SPDG: This Relatively New ETF May Be SCHD's Suitable Replacement As A Core Holding
Barbell Portfolios For Fall Volatility
Multi-Asset Income Midyear Outlook: Income And Resilience Among The Bumps
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