Skip to main content
SPGM logo
SPGM
(NYSEARCA)
State Street SPDR Portfolio MSCI Global Stock Market ETF
$84.27-- (--)
Loading... - Market loading

SPGM ETF: State Street SPDR Portfolio MSCI Global Stock Market ETF - Price, Holdings & Analysis

State Street SPDR Portfolio MSCI Global Stock Market ETF Price Chart

Price Chart

Loading chart...

Financial Metrics & Key Statistics

Fund characteristics, expense ratio, dividend yield, and performance metrics

Day's Range$84.05 - $84.82
52-Week High$86.84
52-Week Low$68.86
Open$84.50
Volume84.08K
Average Volume (3M)316.80K
Assets (AUM)1.71B
Expense Ratio0.09%
Total Holdings2978
Inception DateFeb 26, 2012
1 Day Change-1.17%
1 Month Change0.05%
6 Month Change6.70%
YTD Change9.00%
1 Year Change18.86%
52-Week Change18.51%
5 Year Change50.78%
10 Year Change159.29%
50-Day MA$85.15
200-Day MA$79.76
RSI45.21
Stochastic %K10.19
Stochastic %D41.96
Annual Dividend$2.12
Dividend Yield2.51%
Last Dividend Ex-DateDec 2, 2026
Dividend Growth YoY65.00%
Years Dividend Growth3

Frequently Asked Questions About State Street SPDR Portfolio MSCI Global Stock Market ETF

What is the current price of SPGM?

The latest SPGM price is $84.27. The 52-week range is $68.86–$86.84. SPGM has returned 18.5% over the past 52 weeks.

What is the expense ratio for SPGM?

SPGM's annual expense ratio is 0.09%. This represents the yearly cost of holding the fund, deducted from total returns. Compare with similar Equity ETFs in the ETF Screener.

Does SPGM pay dividends?

Yes, SPGM pays a 2.51% dividend yield. The last ex-dividend date was 2026-12-02. View full dividend history in the Dividends section.

What are the top holdings of SPGM?

SPGM's largest holdings are NVIDIA Corporation (4.6%), Apple Inc (3.9%), Microsoft Corporation (2.6%) (combined weight: 11.2%). The fund holds 2978 total positions. View the complete portfolio breakdown in the Holdings section.

How does SPGM compare to similar ETFs?

Compare SPGM (0.09% expense ratio, $1.71B AUM) against similar Equity ETFs using the ETF Screener. Filter by expense ratio, dividend yield, and performance to find alternatives.