SPDW

SPDR Portfolio Developed World ex-US ETF

SPDR S&P World (ex-US) ETF objective is to replicate the S&P Developed Ex-U.S. BMI Index. The Index measures the investable universe of publicly traded companies domiciled in developed countri


International

EQUITY

Passive

MANAGEMENT STYLE

33.4 B

ASSETS UNDER MGMT

3 bp

EXPENSES
Fund Basics
Fund sponsorSSGA Funds Management Inc
CategoryInternational
Asset classEquity
Websitelink...
Inception dateApr 20, 2007
Assets (mns)$33,369
Expense ratio3 bp
CurrencyUSD
Sector Breakdown
Fund Structure
RegulationOpen-Ended Fund
DistributionsSemi-Annually
Taxation1099
Stock selectionMarket Cap
WeightingMarket Cap
Holdings TransparencyFull
Derivatives-basedNo
Options availableYes
Currency hedgedNo
Fund of fundsNo
Top 10 Holdings Complete list  + 
ASML HOLDING NV 1.5 %
SAMSUNG ELECTR-GDR REGS 1.2 %
ASTRAZENECA PLC 0.9 %
ROCHE HOLDING LTD 0.9 %
NOVARTIS AG 0.9 %
NESTLE SA-REG 0.9 %
SAP AG 0.8 %
HSBC HOLDINGS PLC 0.8 %
TOYOTA MOTOR CORP 0.8 %
ROYAL BANK OF CANADA 0.8 %
Constituent Breakdown
Number of holdings2238
Herfindahl-Hirschman Index 28
Wgt avg mkt cap (mns)$85,114
Large cap (>$10bn)79.1%
Mid cap ($2-10bn)13.4%
Small cap (<$2bn)2.6%
Developed mkts.90.8%
Emerging mkts.5.0%
Country Exposure
JAPAN 21.3 %
BRITAIN 11.1 %
CANADA 9.5 %
SWITZERLAND 7.2 %
FRANCE 7.1 %
GERMANY 6.8 %
AUSTRALIA 5.5 %
SOUTH KOREA 5.0 %
NETHERLANDS 4.1 %
SPAIN 2.9 %
Historical Performance


Standardized Performance (as of 11/30/2025)
 YTD1 YR2 YR3 YR5 YR10 YR20 YRIncep.
Price Returns 28.5% 22.4% 16.1% 12.5% 6.3% 5.1% -- 1.6%
Dividend Yield 0.0% 0.0% 1.6% 2.2% 2.5% 2.7% -- 2.6%
Total Returns 28.5% 22.4% 17.7% 14.7% 8.8% 7.8% -- 4.2%
Ann. Volatility 16.8% 16.5% 14.8% 14.5% 16.1% 17.3% -- 21.8%
Market Correlations
versus...BetaR-squared
S&P 5000.6661%
MSCI EAFE0.9693%
MSCI Emg Mkts0.7564%
Liquidity Measures
Avg. volume (000)4,610
ADV traded (mns)$206
Turnover0.6%
Avg. Bid/Ask (% of price)0.02%
Technical Indicators
30d moving avg. (EMA)$43.45
Relative strength (RSI)57
MACD/Signal0.19/0.08
Bollinger Bands (Upper/Lower)$44.73/$42.22
Short interest (% of AUM)0.3%
Distributions
Assets Under Management (mns)

Money Flows (mns)

Short Interest (as % of shares outstanding)

Long Money Flows (mns)

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Risk and Returns: SPDW vs. Comps (1 YR)

Notes: Top 10 overlapping ETFs. Funds with insufficient history not shown. Some funds may overlap. Hover over data point for ticker symbol.

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Results & Estimates
  2020 2021 2022 2023 2024 2025 2026  
Sales per share -- -- -- -- -- -- --
  change (%) -- -- -- -- -- -- --
Earnings per share -- -- -- -- -- -- --
  change (%) -- -- -- -- -- -- --
Dividends per share -- -- -- -- -- -- --
  change (%) -- -- -- -- -- -- --
Book value per share -- -- -- -- -- -- --
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Return on Equity
Net Margins

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Valuation Metrics
  Fwd Est 2024 2025 2026
Price-to-sales --x --x --x --x
Price-to-earnings --x --x --x --x
Price-to-cash flow --x --x --x --x
Price-to-growth --x --x --x --x
Price-to-book value --x --x --x --x
Yield --% --% --x --%
Based on closing prices from 12/12/2025
Historical Valuation Trends Sample data. Subscribe for access.

SHOWING:
Price-to-Earnings



Notes: Based on adjusted historical results for current fund constituents. May differ from results achieved by past fund constituents. Max P/E of 100x.

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ETF Research Center Rating

NEUTRAL

Average appreciation potential. A rating of NEUTRAL is assigned to ETFs with ALTAR Scores in the middle quintile (ranking between 40%-60%) of their category. This indicates that valuations adequately reflect the fundamentals of stocks in these funds.

ALTAR Score™

SPDW

6.5%

Cat. Avg

6.8%


ALTAR Score™ Calculation

Category Overview
There are 271 funds in the International Equity category, with an average ALTAR Score™ of 6.8% and a standard deviation of 1.8%. SPDW's ALTAR Score™ is approximately 0.1 standard deviations below the category average. This places SPDW in the 45th percentile among funds in the category.
Sell Side Consensus Rating

Sell-side recommendations on the ETF's individual constituents

SPDW
Peer Average
SELL
U/W
HOLD
O/W
BUY
Factor Scorecard

SIZE
VALUE
YIELD
MOMENTUM
VOLATILITY
QUALITY
Bid/Ask Spreads
2 bp
AVG SPREAD
2 — 2 bp
RANGE
Spreads data based on the average National Best Bid & Offer (NBBO) found in observations at various times each trading day, for up to three months. Tick data supplied by NASDAQ.
Total Cost of Ownership EXPENSES    AVG SPREAD
5 bp
SPDW
64 bp
PEER AVG