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S&P 500 Cons Staples Sector SPDR (XLP)

S&P 500 Cons Staples Sector SPDR (XLP)
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Fund Basics

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  • Price/Earnings ttm 19.94
  • Annual Dividend & Yield 2.11 (2.62%)
  • Most Recent Dividend 0.439 on 09/23/24
  • Management Fee 0.10%
  • Sectors:

    ETFs - Consumer Staples

Options Overview Details

View History
  • Implied Volatility 14.21% ( -1.45%)
  • Historical Volatility 8.24%
  • IV Percentile 79%
  • IV Rank 31.98%
  • IV High 28.91% on 06/04/24
  • IV Low 7.31% on 02/22/24
  • Put/Call Vol Ratio 0.23
  • Today's Volume 21,057
  • Volume Avg (30-Day) 26,977
  • Put/Call OI Ratio 2.24
  • Today's Open Interest 406,774
  • Open Int (30-Day) 432,411

Price Performance

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Period Period Low Period High Performance
1-Month
79.96 +1.11%
on 10/31/24
83.19 -2.82%
on 10/15/24
-0.63 (-0.77%)
since 10/04/24
3-Month
77.99 +3.65%
on 08/06/24
84.53 -4.37%
on 09/16/24
+3.14 (+4.04%)
since 08/05/24
52-Week
68.27 +18.41%
on 11/10/23
84.53 -4.37%
on 09/16/24
+12.09 (+17.59%)
since 11/03/23

Most Recent Stories

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Colgate-Palmolive Stock Outlook: Is Wall Street Bullish or Bearish?

Colgate-Palmolive has underperformed relative to the S&P 500 Index over the past year, yet analysts remain moderately bullish on the stock’s prospects.

$SPX : 5,782.76 (+1.23%)
$SPX : 5,782.76 (+1.23%)
CL : 94.26 (+0.69%)
XLP : 80.88 (+0.63%)
Is Wall Street Bullish or Bearish on Procter & Gamble Stock?

Procter & Gamble has underperformed the broader market over the past year, yet analysts remain moderately bullish on the stock’s prospects.

$SPX : 5,782.76 (+1.23%)
$SPX : 5,782.76 (+1.23%)
MS : 117.81 (+1.44%)
PG : 165.76 (+0.41%)
XLP : 80.88 (+0.63%)
Are Wall Street Analysts Bullish on Philip Morris Stock?

Philip Morris has outpaced the broader market over the past year, and analysts remain moderately bullish on the stock’s prospects.

BCS : 12.86 (+1.42%)
$SPX : 5,782.76 (+1.23%)
$SPX : 5,782.76 (+1.23%)
PM : 132.19 (+1.43%)
XLP : 80.88 (+0.63%)
Are Wall Street Analysts Bullish on Kenvue Stock?

Kenvue has lagged the broader market over the past year, but analysts are moderately optimistic about the stock’s prospects.

$SPX : 5,782.76 (+1.23%)
KVUE : 23.23 (+0.82%)
XLP : 80.88 (+0.63%)
Could Buying British American Tobacco Stock Today Set You Up for Life?

British American Tobacco has a huge 8.6% yield, which is a pretty enticing figure if you are trying to live off of dividends in retirement.

KO : 65.37 (+0.40%)
BTI : 35.46 (+1.00%)
$SPX : 5,782.76 (+1.23%)
EPD : 29.30 (+0.58%)
XLP : 80.88 (+0.63%)
Ultra-High-Yield Altria Stock: Buy, Sell, or Hold?

Altria has a lofty 8.2% yield, but that yield comes with material risks. You shouldn't buy it unless you can handle significant uncertainty.

MO : 54.19 (+0.58%)
$SPX : 5,782.76 (+1.23%)
XLP : 80.88 (+0.63%)
What to Expect From Costco Wholesale's Next Quarterly Earnings Report

Costco is expected to release its first-quarter earnings in December, and analysts expect a high single-digit growth in earnings.

COST : 890.17 (+0.46%)
$SPX : 5,782.76 (+1.23%)
$SPX : 5,782.76 (+1.23%)
XLP : 80.88 (+0.63%)
Target Earnings Preview: What to Expect

Target will release its third-quarter earnings next month, and analysts anticipate a single-digit bottom-line growth.

TGT : 150.99 (+0.67%)
$SPX : 5,782.76 (+1.23%)
XLP : 80.88 (+0.63%)
Brown-Forman's Q2 Earnings: What to Expect

Brown-Forman is set to release its Q2 earnings in December, with analysts expecting a single-digit rise in earnings.

$SPX : 5,782.76 (+1.23%)
BF.B : 43.74 (-0.11%)
XLP : 80.88 (+0.63%)
What to Expect From Dollar Tree's Q3 2024 Earnings Report

Ahead of Dollar Tree’s upcoming third-quarter earnings release in December, analysts are forecasting higher-single-digit growth in its bottom line.

DLTR : 66.77 (-0.06%)
$SPX : 5,782.76 (+1.23%)
XLP : 80.88 (+0.63%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 40% Buy with a Weakening short term outlook on maintaining the current direction.

Long term indicators fully support a continuation of the trend.

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Fund Summary

The Consumer Staples Select Sector SPDR Fund seeks to provide investment results that, before expenses, correspond generally to the price and yield performance of the Consumer Staples Select Sector Index.

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Key Turning Points

3rd Resistance Point 81.06
2nd Resistance Point 80.83
1st Resistance Point 80.60
Last Price 80.88
1st Support Level 80.15
2nd Support Level 79.92
3rd Support Level 79.69

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52-Week High 84.53
Last Price 80.88
Fibonacci 61.8% 78.32
Fibonacci 50% 76.40
Fibonacci 38.2% 74.48
52-Week Low 68.27

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