ESIX

State Street SPDR S&P SmallCap 600 ESG ETF

ESIX tracks a market-cap-weighted index of US small-cap companies screened for environmental, social, and governance (ESG) factors.


US

EQUITY

Rules-Based

MANAGEMENT STYLE

7.4 M

ASSETS UNDER MGMT

12 bp

EXPENSES
Fund Basics
Fund sponsorState Street
CategoryUS
Asset classEquity
Websitelink...
Inception dateJan 10, 2022
Assets (mns)$7
Expense ratio12 bp
CurrencyUSD
Sector Breakdown
Fund Structure
RegulationOpen-Ended Fund
DistributionsQuarterly
Taxation1099
Stock selectionPrinciples-based
WeightingMarket Cap
Holdings TransparencyFull
Derivatives-basedNo
Options availableNo
Currency hedgedNo
Fund of fundsNo
Top 10 Holdings Complete list  + 
ARROWHEAD PHARMACEUTICALS, INC. 0.9 %
ARMSTRONG WORLD INDUSTRIES 0.9 %
SANMINA CORP 0.8 %
CARETRUST REIT INC 0.8 %
ADVANCED ENERGY INDUSTRIES 0.8 %
JOHN BEAN TECHNOLOGIES CORP 0.8 %
JACKSON FINANCIAL INCORPORATION CLASS A 0.8 %
INTERDIGITAL INC 0.8 %
SITIME CORPORATION 0.7 %
LUMEN TECHNOLOGIES, INC. 0.7 %
Constituent Breakdown
Number of holdings369
Herfindahl-Hirschman Index 38
Wgt avg mkt cap (mns)$3,629
Large cap (>$10bn)73.9%
Mid cap ($2-10bn)21.5%
Small cap (<$2bn)0.0%
Developed mkts.96.8%
Emerging mkts.0.0%
Country Exposure
UNITED STATES 94.7 %
BERMUDA 0.7 %
PUERTO RICO 0.7 %
IRELAND 0.6 %
Historical Performance


Standardized Performance (as of 12/31/2025)
 YTD1 YR2 YR3 YR5 YR10 YR20 YRIncep.
Price Returns 0.1% 0.1% 3.9% 7.6% -- -- -- 1.2%
Dividend Yield 1.7% 1.7% 1.8% 1.9% -- -- -- 1.7%
Total Returns 1.8% 1.8% 5.7% 9.5% -- -- -- 2.9%
Ann. Volatility 22.5% 22.5% 21.0% 20.6% -- -- -- 21.9%
Market Correlations
versus...BetaR-squared
S&P 5000.9872%
MSCI EAFE1.0054%
MSCI Emg Mkts0.8545%
Liquidity Measures
Avg. volume (000)1
ADV traded (mns)$0
Turnover0.4%
Avg. Bid/Ask (% of price)0.26%
Technical Indicators
30d moving avg. (EMA)$31.87
Relative strength (RSI)60
MACD/Signal0.29/0.25
Bollinger Bands (Upper/Lower)$32.76/$31.47
Short interest (% of AUM)0.5%
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: ESIX 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 -- -- -- -- -- -- --
  change (%) -- -- -- -- -- -- --
Return on Equity
Net Margins

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Valuation Metrics
  Fwd Est 2025 2026 2027
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 1/11/2026
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

OVERWEIGHT

Above average appreciation potential. A rating of OVERWEIGHT is assigned to ETFs with ALTAR Scores in the 4th quintile (ranking higher than 60%-80%) of their category. Typically, funds in this category consist of stocks trading at attractive valuations and/or having above-average fundamentals.

ALTAR Score™

ESIX

7.2%

Cat. Avg

5.5%


ALTAR Score™ Calculation

Category Overview
There are 1045 funds in the US Equity category, with an average ALTAR Score™ of 5.5% and a standard deviation of 2.2%. ESIX's ALTAR Score™ is approximately 0.8 standard deviations above the category average. This places ESIX in the 78th percentile among funds in the category.
Sell Side Consensus Rating

Sell-side recommendations on the ETF's individual constituents

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

SIZE
VALUE
YIELD
MOMENTUM
VOLATILITY
QUALITY
Bid/Ask Spreads
26 bp
AVG SPREAD
19 — 60 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
38 bp
ESIX
62 bp
PEER AVG