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SPDR Portfolio High Yield Bond ETF (SPHY)

SPDR Portfolio High Yield Bond ETF (SPHY)
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Overview

Name SPDR Portfolio High Yield Bond ETF
Fund Family State Street Global Advisors
Underlying Index ICE BofAML US High Yield Index
Inception Date 06/18/12
First Trade Date 09/23/19
Leverage Long
Asset Class Fixed Income

Description:

The SPDR Portfolio High Yield Bond ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the ICE BofAML US High Yield Index.

Investment Information

Alpha 3.06
60-Month Beta 0.42
Standard Deviation +1.62
Shares Outstanding, K 240,600.00
Managed Assets, $K 5,637,258.00 K
Net Asset Value 23.43
First Trade Price 26.14
P/E Ratio 0.02
Management Fee 0.10%
Options Yes
Latest Dividend 0.145
Last Dividend Date 12/19/24
Annual Dividend 1.83
Annual Dividend Yield 7.81%
1-Year Return 0.39%
3-Year Return -11.85%
5-Year Return -10.95%
Management Expense Ratio 0.10%

SPHY Dividends

Date Value
12/19/24 $0.1450
12/02/24 $0.1480
11/01/24 $0.1540
10/01/24 $0.1500
09/03/24 $0.1550
08/01/24 $0.1520
07/01/24 $0.1530
06/03/24 $0.1500
05/01/24 $0.1540
04/01/24 $0.1540
03/01/24 $0.1560
02/01/24 $0.1600
12/18/23 $0.1560
12/01/23 $0.1530
11/01/23 $0.1490
10/02/23 $0.1520
09/01/23 $0.1440
08/01/23 $0.1400
07/03/23 $0.1360
06/01/23 $0.1420
05/01/23 $0.1380
04/03/23 $0.1330
03/01/23 $0.1330
02/01/23 $0.1310
12/19/22 $0.1380
12/01/22 $0.1290
11/01/22 $0.1270
10/03/22 $0.1260
09/01/22 $0.1290
08/01/22 $0.1190
07/01/22 $0.1240
06/01/22 $0.1160
05/02/22 $0.1150
04/01/22 $0.1050
03/01/22 $0.1080
02/01/22 $0.1070
12/17/21 $0.1090
12/01/21 $0.1090
11/01/21 $0.1100
10/01/21 $0.1090
09/01/21 $0.1080
08/02/21 $0.1090
07/01/21 $0.1140
06/01/21 $0.1160
05/03/21 $0.1150
04/01/21 $0.1180
03/01/21 $0.1220
02/01/21 $0.1250
12/18/20 $0.1100
12/01/20 $0.1230
11/02/20 $0.1250
10/01/20 $0.1280
09/01/20 $0.1180
08/03/20 $0.1280
07/01/20 $0.1210
06/01/20 $0.1230
05/01/20 $0.1320
04/01/20 $0.1250
03/02/20 $0.1310
02/03/20 $0.1270
12/20/19 $0.1510
12/02/19 $0.1340
11/01/19 $0.1330
10/01/19 $0.1370
09/03/19 $0.1260
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