State Street® SPDR® S&P® 500 UCITS ETF (Acc)

ISIN IE000XZSV718 · SPYL EU United States

The State Street® SPDR® S&P® 500 UCITS ETF (Acc) is an exchange-traded index fund (ETF) from SPDR that tracks the S&P 500 index physically. With a total expense ratio (TER) of 0.03 % per year it is very low-cost for its category. Income is automatically reinvested (accumulating); it trades as a Europe-domiciled UCITS fund. The fund spreads across 504 individual holdings – the largest currently NVIDIA Corporation at 7.98 %. The full composition plus the sector and country breakdown are shown below.

ListingEurope (UCITS)
Cost (TER)0.03 %
Indexsp500
ReplicationPhysical
DistributionAccumulating
Holdings504

Key facts

Key facts
Inception2023-10-31
Fund size43.2 bn
DistributionAccumulating
Product structurePhysical

Data note 1

Tax (Germany)

Equity ETF: 30 % partial exemption (Teilfreistellung). Accumulating → Vorabpauschale advance tax applies. Details.

The 100 largest holdings

of 504 in total · as of 2026-09-16

Top holdings
#StockTickerWeight
1NVIDIA CorporationNVDA7.98 %
2Apple Inc.AAPL7.52 %
3Microsoft CorporationMSFT5.61 %
4Amazon.com Inc.AMZN3.71 %
5Alphabet Inc. Class AGOOGL3.09 %
6Broadcom Inc.AVGO2.47 %
7Alphabet Inc. Class CGOOG2.47 %
8Meta Platforms Inc Class AMETA2.28 %
9Micron Technology Inc.MU1.61 %
10Tesla Inc.TSLA1.55 %
11Berkshire Hathaway Inc. Class BBRK B1.47 %
12JPMorgan Chase & Co.JPM1.44 %
13Eli Lilly and CompanyLLY1.39 %
14Advanced Micro Devices Inc.AMD1.29 %
15Exxonmobil Holdings CorporationXOM1.04 %
16Johnson & JohnsonJNJ0.99 %
17Visa Inc. Class AV0.95 %
18Intel Corp.INTC0.77 %
19Walmart Inc.WMT0.73 %
20AbbVie Inc.ABBV0.71 %
21Mastercard Incorporated Class AMA0.71 %
22Cisco Systems Inc.CSCO0.66 %
23Palantir Technologies Inc. Class APLTR0.62 %
24Chevron CorporationCVX0.61 %
25Costco Wholesale CorporationCOST0.61 %
26Bank of America CorpBAC0.58 %
27Caterpillar Inc.CAT0.56 %
28Merck & Co. Inc.MRK0.55 %
29Procter & Gamble CompanyPG0.53 %
30UnitedHealth Group IncorporatedUNH0.53 %
31Coca-Cola CompanyKO0.52 %
32Lam Research CorporationLRCX0.52 %
33Applied Materials Inc.AMAT0.51 %
34GE AerospaceGE0.50 %
35Netflix Inc.NFLX0.49 %
36Palo Alto Networks Inc.PANW0.47 %
37Home Depot Inc.HD0.46 %
38Philip Morris International Inc.PM0.46 %
39Goldman Sachs Group Inc.GS0.43 %
40Wells Fargo & CompanyWFC0.41 %
41RTX CorporationRTX0.41 %
42GE Vernova Inc.GEV0.38 %
43Oracle CorporationORCL0.38 %
44Morgan StanleyMS0.37 %
45CrowdStrike Holdings Inc. Class ACRWD0.37 %
46Thermo Fisher Scientific Inc.TMO0.37 %
47Texas Instruments IncorporatedTXN0.36 %
48Citigroup Inc.C0.35 %
49Sandisk CorporationSNDK0.35 %
50International Business Machines CorporationIBM0.34 %
51KLA CorporationKLAC0.34 %
52Linde plcLIN0.33 %
53Verizon Communications Inc.VZ0.32 %
54Salesforce Inc.CRM0.32 %
55Amgen Inc.AMGN0.31 %
56Arista Networks IncANET0.31 %
57Marvell Technology Inc.MRVL0.31 %
58QUALCOMM IncorporatedQCOM0.30 %
59Amphenol Corporation Class AAPH0.29 %
60Walt Disney CompanyDIS0.29 %
61PepsiCo Inc.PEP0.28 %
62Gilead Sciences Inc.GILD0.28 %
63Abbott LaboratoriesABT0.28 %
64AT&T IncT0.28 %
65McDonald's CorporationMCD0.27 %
66Analog Devices Inc.ADI0.27 %
67Seagate Technology Holdings plcSTX0.27 %
68Charles Schwab CorpSCHW0.27 %
69NextEra Energy Inc.NEE0.26 %
70Deere & CompanyDE0.26 %
71Union Pacific CorporationUNP0.26 %
72American Express CompanyAXP0.26 %
73Welltower Inc.WELL0.25 %
74Dell Technologies Inc. Class CDELL0.25 %
75ConocoPhillipsCOP0.25 %
76Boeing CompanyBA0.24 %
77Pfizer Inc.PFE0.24 %
78Eaton Corp. PlcETN0.24 %
79BlackRock Inc.BLK0.23 %
80ServiceNow Inc.NOW0.22 %
81Uber Technologies Inc.UBER0.22 %
82Western Digital CorporationWDC0.22 %
83TJX Companies IncTJX0.21 %
84Intuitive Surgical Inc.ISRG0.21 %
85Booking Holdings Inc.BKNG0.20 %
86Danaher CorporationDHR0.20 %
87Vertex Pharmaceuticals IncorporatedVRTX0.20 %
88Newmont CorporationNEM0.20 %
89Bristol-Myers Squibb CompanyBMY0.20 %
90Capital One Financial CorpCOF0.20 %
91Progressive CorporationPGR0.19 %
92Prologis Inc.PLD0.19 %
93S&P Global Inc.SPGI0.19 %
94Chubb LimitedCB0.19 %
95Marathon Petroleum CorporationMPC0.18 %
96Medtronic PlcMDT0.18 %
97Valero Energy CorporationVLO0.18 %
98Accenture plc Class AACN0.18 %
99Altria Group Inc.MO0.18 %
100CVS Health CorporationCVS0.18 %

Top Sectors

Information Technology38.0 %
Financials12.1 %
Communication Services10.0 %
Health Care9.3 %
Consumer Discretionary8.8 %
Industrials8.2 %
Consumer Staples4.5 %
Energy3.5 %
Utilities2.0 %
Materials1.8 %
Real Estate1.8 %

Geographic Breakdown

United States100.0 %

Data note 2

NAV history

Net asset value per share in USD, set once per trading day. It is not an exchange price. Distributions are not added back, so for distributing funds the value drops by the amount paid out on the distribution date.

Data note 3

Performance

Calculated from the fund's NAV history.

Performance figures
Trailing (1Y)+15.4 %Year to date+11.1 %
Calendar year 2024+24.7 %
Calendar year 2025+17.6 %

Data note 4

Published fund performance

NAV18.69 USD
Year to date+12.98 %
1 year+20.11 %
Published fund performance
Year to date+12.98 %
1 year p.a.+20.11 %

Periods of one year and longer are annualized, as of 2026-08-31.

Data note 5

Correlated with

The strongest co-movers on top, the most inverse below. Low or negative values improve portfolio diversification.

Data note 6

Based on the underlying index SP500's own correlations — we don't have individual price series for UCITS ETFs.

Cost example

With a total expense ratio (TER) of 0.03 %, SPYL is the lowest-cost of the 3 funds on this index that we track.

Data note 7

Alternative ETFs on the same index

Compared with other funds

How much this fund overlaps with others — the figure is the share of capital financing the same companies in both.

Data note 8

In the Alysly network

How SPYL connects to ETFs, indices and neighbouring names — every link is a measured relation, not a recommendation.

View the full network