Wednesday, February 10, 2010, 12:22am EST - Canadian Markets open in 9 hours and 8 minutes.
To create a watchlist or portfolio of shares, Sign-in or Register

Consumer Discret Select Sector SPDR (XLY)

On Feb 9: 29.03 USD  Up 0.44 (1.54%)  
MORE ON XLY
Quotes
HereSummary
Charts
News & Info
ETF
Analyst
CONSUMER DIS SS SPDR (PCX:XLY) Delayed quote dataEdit
After Hours: 29.05 Up 0.02 (0.07%) as of 4:14pm EST on 02/09/10
Last Trade: 29.03
Trade Time: Feb 9
Change: Up 0.44 (1.54%)
Prev Close: 28.59
Open: 28.84
Bid: 26.34 x 200
Ask: 29.31 x 600
NAV¹: 28.63
¹As of 8-Feb-10
Day's Range: 28.74 - 29.21
52wk Range: 15.85 - 30.54
Volume: 6,904,881
Avg Vol (3m): 6,066,050
YTD Return (Mkt)²: 40.52%
Net Assets²: 1.49B
P/E (ttm)²: 16.75
Yield (ttm)²: 1.56%
²As of 31-Jan-10
Consumer Discret Select Sector SPDR (XLY)
1d  5d  3m  6m  1y  2y  5y  max 
 Add XLY to Portfolio   Download Data

HEADLINES
Dave's Daily: Rainy Days & Mondays
at TheStreet.com (Mon, Feb 8)
Jobless Rate Won't Get Better in 2010: Opinion
TheStreet.com (Fri, Feb 5)
Real Unemployment 18% - Will Stocks Falter?
ETFguide.com (Fri, Feb 5)
ISM Services Index Reports End of Contraction: Consider XLY
at Seeking Alpha (Fri, Feb 5)
[$$] Rob's Wrap: Discretion Is the Better Part
at RealMoney by TheStreet.com (Thu, Feb 4)
What Economic Indicators Are Really Telling Us
ETFguide.com (Thu, Feb 4)
Sector ETFs: Financials and InfoTech Look Strong
at Seeking Alpha (Wed, Feb 3)
Beyond XLY: Three Better Consumer Discretionary ETFs
at Seeking Alpha (Wed, Feb 3)
Relief Rally or Further Declines - What's Next?
ETFguide.com (Mon, Feb 1)
ETFs to Play Ford-Toyota News
at TheStreet.com (Mon, Feb 1)
Relief Rally or Major Correction - What's Next?
ETFguide.com (Thu, Jan 28)
Dave's Daily: Waiting for the Fed
at TheStreet.com (Tue, Jan 26)
ETF option bets hint at US stocks correction soon
at Reuters (Fri, Jan 22)
More Headlines for XLY...

FUND BASICS
Category: N/A
Fund Family: Select Sector SPDR Trust
Index Tracked: S&P 500 TR
Total Assets: 1.49B
Legal Type: Exchange Traded Fund
Fund Profile - Holdings

PERFORMANCE & RISK
YTD Return: 41.17%
3y Avg Return: -6.62%
5y Avg Return: -2.06%
Beta (3y): 1.13
Performance Details - Risk Details

FUND SUMMARY
The investment includes companies from the following industries: automobiles and components, consumer durables, apparel, hotels, restaurants, leisure, media and retailing. The fund will normally invest at least 95% of its total assets in common stocks that comprise the relevant Select Sector Index. It has also adopted a policy that requires it to provide shareholders with at least 60 days notice prior to any significant material change in its policy or its underlying index. It is nondiversified.
Fund Profile


Add to My Portfolio Add to Portfolio    Email to a Friend Email to a Friend
Get Summary for Another Symbol:
Symbol Lookup
Latest News Canadian Indices