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SPDR S&P 500 ESG ETF

EFIV

Sustainable Index

92.8%

Excluded by weight

264

Excluded companies

313

Total holdings

Holdings as of end-of-period filing dated February 25, 2026. Source: SEC N-PORT filing / fund provider disclosure.

Filter by harm category

Screened out

264 companies · 92.8% by weight
NVDA11.65%

NVIDIA CORP

See why excluded →
AAPL9.94%

APPLE INC

See why excluded →
MSFT7.30%

MICROSOFT CORP

See why excluded →
GOOGL4.46%

ALPHABET INC CL A

See why excluded →
GOOG3.57%

ALPHABET INC CL C

See why excluded →
META3.49%

META PLATFORMS INC CLASS A

See why excluded →
LLY2.00%

ELI LILLY + CO

See why excluded →
XOM1.54%

EXXON MOBIL CORP

See why excluded →
WMT1.35%

WALMART INC

See why excluded →
V1.30%

VISA INC CLASS A SHARES

See why excluded →
MU1.18%

MICRON TECHNOLOGY INC

See why excluded →
MA1.03%

MASTERCARD INC A

See why excluded →
ABBV0.98%

ABBVIE INC

See why excluded →
HD0.92%

HOME DEPOT INC

See why excluded →
GE0.89%

GENERAL ELECTRIC

See why excluded →
CAT0.88%

CATERPILLAR INC

See why excluded →
BAC0.85%

BANK OF AMERICA CORP

See why excluded →
AMAT0.77%

APPLIED MATERIALS INC

See why excluded →
CSCO0.76%

CISCO SYSTEMS INC

See why excluded →
KO0.76%

COCA COLA CO/THE

See why excluded →
MRK0.75%

MERCK + CO. INC.

See why excluded →
GS0.68%

GOLDMAN SACHS GROUP INC

See why excluded →
WFC0.67%

WELLS FARGO + CO

See why excluded →
UNH0.63%

UNITEDHEALTH GROUP INC

See why excluded →
LIN0.58%

LINDE PLC

See why excluded →
PEP0.57%

PEPSICO INC

See why excluded →
INTC0.52%

INTEL CORP

See why excluded →
MS0.52%

MORGAN STANLEY

See why excluded →
AMGN0.51%

AMGEN INC

See why excluded →
KLAC0.51%

KLA CORP

See why excluded →
C0.50%

CITIGROUP INC

See why excluded →
ABT0.49%

ABBOTT LABORATORIES

See why excluded →
T0.48%

AT+T INC

See why excluded →
TMO0.47%

THERMO FISHER SCIENTIFIC INC

See why excluded →
DIS0.46%

WALT DISNEY CO/THE

See why excluded →
CRM0.45%

SALESFORCE INC

See why excluded →
GILD0.45%

GILEAD SCIENCES INC

See why excluded →
AXP0.43%

AMERICAN EXPRESS CO

See why excluded →
TJX0.43%

TJX COMPANIES INC

See why excluded →
SCHW0.39%

SCHWAB (CHARLES) CORP

See why excluded →
DE0.39%

DEERE + CO

See why excluded →
BLK0.39%

BLACKROCK INC

See why excluded →
UNP0.38%

UNION PACIFIC CORP

See why excluded →
QCOM0.38%

QUALCOMM INC

See why excluded →
UBER0.37%

UBER TECHNOLOGIES INC

See why excluded →
LOW0.36%

LOWE S COS INC

See why excluded →
ETN0.36%

EATON CORP PLC

See why excluded →
BKNG0.34%

BOOKING HOLDINGS INC

See why excluded →
NEM0.34%

NEWMONT CORP

See why excluded →
COP0.33%

CONOCOPHILLIPS

See why excluded →
SYK0.33%

STRYKER CORP

See why excluded →
SPGI0.32%

S+P GLOBAL INC

See why excluded →
COF0.32%

CAPITAL ONE FINANCIAL CORP

See why excluded →
PLD0.32%

PROLOGIS INC

See why excluded →
BMY0.31%

BRISTOL MYERS SQUIBB CO

See why excluded →
MDT0.30%

MEDTRONIC PLC

See why excluded →
CB0.30%

CHUBB LTD

See why excluded →
ACN0.29%

ACCENTURE PLC CL A

See why excluded →
PANW0.28%

PALO ALTO NETWORKS INC

See why excluded →
SBUX0.27%

STARBUCKS CORP

See why excluded →
CME0.27%

CME GROUP INC

See why excluded →
BSX0.27%

BOSTON SCIENTIFIC CORP

See why excluded →
NOW0.27%

SERVICENOW INC

See why excluded →
ADBE0.27%

ADOBE INC

See why excluded →
TT0.25%

TRANE TECHNOLOGIES PLC

See why excluded →
WDC0.24%

WESTERN DIGITAL CORP

See why excluded →
FCX0.24%

FREEPORT MCMORAN INC

See why excluded →
CVS0.24%

CVS HEALTH CORP

See why excluded →
STX0.23%

SEAGATE TECHNOLOGY HOLDINGS

See why excluded →
ICE0.22%

INTERCONTINENTAL EXCHANGE IN

See why excluded →
WMB0.22%

WILLIAMS COS INC

See why excluded →
JCI0.22%

JOHNSON CONTROLS INTERNATION

See why excluded →
PNC0.21%

PNC FINANCIAL SERVICES GROUP

See why excluded →
USB0.21%

US BANCORP

See why excluded →
WM0.21%

WASTE MANAGEMENT INC

See why excluded →
BK0.21%

BANK OF NEW YORK MELLON CORP

See why excluded →
EMR0.20%

EMERSON ELECTRIC CO

See why excluded →
CDNS0.20%

CADENCE DESIGN SYS INC

See why excluded →
CMI0.20%

CUMMINS INC

See why excluded →
REGN0.20%

REGENERON PHARMACEUTICALS

See why excluded →
RCL0.19%

ROYAL CARIBBEAN CRUISES LTD

See why excluded →
CSX0.19%

CSX CORP

See why excluded →
CL0.19%

COLGATE PALMOLIVE CO

See why excluded →
ECL0.19%

ECOLAB INC

See why excluded →
MAR0.19%

MARRIOTT INTERNATIONAL CL A

See why excluded →
MDLZ0.19%

MONDELEZ INTERNATIONAL INC A

See why excluded →
ORLY0.19%

O REILLY AUTOMOTIVE INC

See why excluded →

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About this screening

SPDR S&P 500 ESG ETF applies its own values-based screening methodology. We analyze it because that shared practice — using an ethical framework to exclude companies for non-financial reasons — makes the comparison meaningful. This fund's methodology differs from ours. The purpose of this page is to make those differences tangible and help investors know what they own.