ETF Profile: XLE

Energy Select Sector SPDR Fund ASE : XLE
Last Price Today's Change Today's Volume As of 01-Jul-2025 02:14 PM ET
$85.61 Up icon +0.80 (+0.94%) 13,447,227

Top Holdings As of 31-May-2025

Symbol ETF Name Weight Shares Owned Share Change Last Price $ Change % Change
XOM Exxon Mobil Corp 23.00% 58,858,132 -305,415.00 109.18 +1.38 +1.28%
CVX Chevron Corp 15.03% 28,788,945 -149,391.00 145.59 +2.40 +1.67%
COP ConocoPhillips 7.16% 21,977,561 -114,048.00 91.95 +2.21 +2.46%
WMB Williams Companies Inc 5.16% 22,321,691 -115,830.00 59.23 -3.58 -5.69%
EOG EOG Resources Inc 4.19% 10,112,787 -52,470.00 121.27 +1.66 +1.39%
KMI Kinder Morgan Inc Class P 4.10% 38,325,436 -198,858.00 28.43 -0.97 -3.30%
MPC Marathon Petroleum Corp 3.85% 6,264,928 -32,505.00 170.87 +4.76 +2.87%
OKE ONEOK Inc 3.80% 12,300,629 -63,822.00 81.14 -0.49 -0.60%
PSX Phillips 66 3.55% 8,187,885 -42,471.00 123.88 +4.58 +3.84%
SLB Schlumberger Ltd 3.51% 27,773,007 -144,111.00 35.20 +1.40 +4.13%

Sector Weightings As of 31-May-2025

Sector % Net
Energy
Energy 99.14%
Basic Materials
Basic Materials 0.00%
Consumer Cyclical
Consumer Cyclical 0.00%
Financial Services
Financial Services 0.00%
Real Estate
Real Estate 0.00%
Communication Services
Communication Services 0.00%
Industrials
Industrials 0.00%
Technology
Technology 0.00%
Consumer Defensive
Consumer Defensive 0.00%
Healthcare
Healthcare 0.00%
Utilities
Utilities 0.00%

Asset Allocation As of 31-May-2025

Asset Type % Net % Short % Long
U.S. Stock
U.S. Stock 99.83% n/a 99.83%
Cash
Cash 0.17% n/a 0.17%
Non-U.S. Stock
Non-U.S. Stock 0.00% n/a 0.00%
U.S. Bond
U.S. Bond 0.00% n/a 0.00%
Non-U.S. Bond
Non-U.S. Bond 0.00% n/a 0.00%
Preferred
Preferred 0.00% n/a 0.00%
Convertible
Convertible 0.00% n/a 0.00%
Other
Other 0.00% n/a 0.00%
Risk

Exchange traded products (ETPs) are subject to market volatility and the risks of their underlying securities which may include the risks associated with investing in smaller companies, foreign securities, commodities and fixed income investments. Foreign securities are subject to interest-rate, currency-exchange-rate, economic, and political risks, all of which are magnified in emerging markets. ETPs that target a small universe of securities, such as a specific region or market sector are generally subject to greater market volatility as well as the specific risks associated with that sector, region or other focus. ETPs which use derivatives, leverage, or complex investment strategies are subject to additional risks. The return of an index ETP is usually different from that of the index it tracks because of fees, expenses and tracking error. An ETP may trade at a premium or discount to its Net Asset Value (NAV) (or Indicative Value in the case of ETNs). Each ETP has a unique risk profile which is detailed in its prospectus, offering circular or similar material, which should be considered carefully when making investment decisions.

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