State Street SPDR S&P Oil & Gas Exploration & Production ETF (XOP)


Market Price (9/7/2026): $190.94

State Street SPDR S&P Oil & Gas Exploration & Production ETF (XOP)


Market Price (9/7/2026): $190.94

Key Takeaways

  • XOP has returned +51.7% YTD vs +13.3% for SPY; +49.8% over the past 12 months (SPY +20.0%). details →
  • Priced in gold, XOP has returned -41.6% over the past 3 years, vs +34.5% in dollars — its dollar gains have lagged gold. details →
  • Over the past month, XOP has seen net inflows of +$29M (+0.8% of assets). details →
  • Analysts expect -7% revenue growth across XOP's holdings (next fiscal year) vs +13% for SPY; expected earnings growth: -20% vs +19%. details →
  • Risk-adjusted returns trail SPY: 3-year Sharpe ratio of 0.4 vs 1.0. details →
Last updated: 9/6/2026.

Price Chart

Asset Allocation with XOP

Risk Tolerance:
ConservativeModerateAggressive
Moderate — 55% equity / 25% bonds / 20% alternatives
10Y Return (ann.)
+7.8%
Volatility
24.3%
Sharpe
0.31
YTD
+30.6%
Modeled with monthly rebalancing to target weights; 10-year figures are annualized from monthly returns. Illustrative only — past performance is not indicative of future results.

Learn More →
Tailored Asset Allocation
[1] Personalized 5 Level Risk Tolerance Assessment
[2] Asset Allocation for My Risk Tolerance
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Protect Wealth
[1] Defensive Portfolios
[2] Tax-Efficient Strategies

Valuation & Yield

 Forward [4,5]NowHistorical (CYE & TTM)
 9/30/279/7/2620252024202320222021
Share Price CYE $190.71$125.75$128.52$129.82$125.36$86.24
Dividend/Share TTM $2.50$3.30$3.24$3.59$3.35$1.54

Valuation [1]
       
P/S1.051.100.821.010.810.660.80
P/E 12.1413.3113.077.205.0810.75
P/E (Non-GAAP) [2]11.4011.5114.2913.699.858.5218.17
P/FCF 14.9217.6134.9914.017.1811.06

Yields TTM
       
Earnings Yield8.77%8.24%7.51%7.65%13.89%19.70%9.30%
Dividend Yield1.31%1.31%2.63%2.52%2.77%2.68%1.79%
Total Yield (TY)10.08%9.55%10.14%10.17%16.66%22.37%11.09%

Risk Premium [3]
       
Risk Free Rate (Rf)4.77%4.77%4.18%4.58%3.88%3.88%1.52%
Risk Prem. (TY - Rf)5.31%4.78%5.96%5.59%12.78%18.49%9.57%

Growth Rates [6]
       
Sales Growth-7.0%13.9%-4.3%-9.3%-18.2%69.2% 
Earnings Growth [7]-19.6%114.5%26.2%-79.7%-17.8%524.8% 

[1] P/E uses the aggregate method over profitable constituents; P/FCF aggregates net free cash flow across all constituents (negative-FCF names reduce it); P/S uses all constituents. Ratios reflect current ETF holdings at current weights. P/FCF has no Forward column (no analyst FCF estimate).
[2] P/E (Non-GAAP) uses analyst consensus net income (adjusted basis) for all periods. The standard P/E row above uses GAAP net income.
[3] The premium above the risk free rate (US 10Y) offered by the investment. Negative premiums can indicate stretched valuations.
Show more
[4] Forward P/S and Forward P/E determined as:
  (a) Aggregate using constituent analyst consensus. FY1/FY2 blended by months of overlap to the 12-month window ending 9/30/27.
  (b) Uses current weights and market caps. Shown only when ≥90% of weight has estimates.
[5] Forward dividend yield and risk-free rate are carried at current, not projected.
[6] Growth Rates:
  (a) Weighted by current constituent weights. Shown when ≥90% of weight is covered.
  (b) Now and Historical columns show realized year-over-year change.
  (c) Forward growth rates using next fiscal year (FY2) vs. current fiscal year (FY1) consensus. This differs from the blended target date used for calculating Forward P/S and P/E.
[7] Earnings Growth reflects:
  (a) Non-GAAP earnings growth for forward earnings using next fiscal year (FY2) vs. current fiscal year (FY1) consensus.
  (b) GAAP earnings growth for Now and Historical growth rates.

Highlights
YIELD
XOP's earnings yield is 8.24%, based on its 12.1x trailing P/E. With a 1.31% dividend yield, XOP is yielding 9.55% in total.
RISK
Compared to US Treasuries at 4.77%, XOP's total yield implies a healthy 4.78% risk premium. Healthy risk premiums suggest reasonable valuations.
FORWARD EXPECTATIONS
Based on analyst estimates, XOP's forward total yield is 10.08%, implying a 5.31% risk premium assuming stable Treasury rates.

Top 20 Holdings for XOP

Total Weights
Top 5: 16.7% | Top 10: 30.8% | Top 20: 55.3%

TickerHoldingETF WeightSales WeightEarnings WeightFwd P/SFwd P/EFwd Sales GrowthFwd Earnings Growth
Total99.01%100.00%100.00%0.810.9-7.0%-19.6%
Top 2055.26%59.14%66.41%0.810.0-8.8%-27.0%
PBFPBF Energy3.86%13.27%7.91%0.37.2-10.9%-53.1%
DINOHF Sinclair3.27%4.75%4.42%0.69.7-9.9%-32.2%
MPCMarathon Petroleum3.21%3.86%3.26%0.711.1-8.5%-42.2%
DKDelek US3.21%7.72%2.18%0.413.1-7.8%-74.4%
VLOValero Energy3.14%3.53%2.77%0.811.8-13.5%-34.9%
PARRPar Pacific3.10%5.96%8.99%0.55.7-15.1%-40.1%
PSXPhillips 663.06%4.00%2.83%0.711.5-7.5%-19.7%
CLMTCalumet2.67%2.32%1.050.3-4.8%
PRPermian Resources2.63%0.68%2.21%2.910.9+2.4%+28.0%
CRGYCrescent Energy2.60%2.17%0.42%1.08.8-5.2%-15.3%
APAAPA2.54%1.30%3.76%1.89.7-9.8%-29.3%
SMSM Energy2.48%1.29%3.80%1.210.0-0.4%+3.7%
CNXCNX Resources2.48%0.87%5.66%2.58.3-8.4%+45.6%
OVVOvintiv2.48%1.17%1.68%1.99.5-7.9%-8.1%
COPConocoPhillips2.47%0.84%1.88%2.414.3-6.8%-14.3%
EXEExpand Energy2.44%1.26%3.88%1.811.0-4.0%-0.2%
ARAntero Resources2.43%0.98%2.88%1.89.3-0.2%-2.5%
CVXChevron2.43%1.09%1.62%1.915.2-9.1%-18.7%
VGVenture Global2.38%0.99%3.18%2.211.9-13.8%-39.7%
MTDRMatador Resources2.37%1.09%3.12%1.66.7+12.6%+13.8%
[1] Total and Top 20 rows are weighted aggregates across constituents.
[2] Forward P/S and P/E ratios use consensus sales and earnings for the 12 months ending 9/30/27. Individual constituent FY1 and FY2 consensus figures adjusted to align with 9/30/27.
[3] Forward Sales and Non-GAAP Earnings Growth are calculated as next fiscal year (FY2) consensus growth over current fiscal year (FY1) consensus. They are not derived from the forward P/S and P/E multiples shown.

Performance for XOP Top Holdings

TickerHoldingWeightMkt Price
9/6
1D Rtn1M RtnYTD Rtn1Y Rtn3Y Rtn5Y Rtn10Y Rtn
XOPState Street SPDR S&P Oil & Gas Exploration & Production ETF100.00%190.710.0%14.6%51.7%49.8%34.5%153.9%47.0%
PBFPBF Energy3.86%74.340.0%20.9%179.2%167.5%59.6%722.1%322.2%
DINOHF Sinclair3.27%105.410.0%30.3%134.1%113.0%103.7%303.6%469.6%
MPCMarathon Petroleum3.21%388.900.0%30.8%141.9%119.3%173.4%642.2%1,106.5%
DKDelek US3.21%71.860.0%22.9%146.2%134.6%180.9%404.1%456.9%
VLOValero Energy3.14%370.720.0%24.3%131.1%141.5%195.5%560.5%868.5%
PARRPar Pacific3.10%81.320.0%22.7%131.4%140.0%126.9%420.3%501.5%
PSXPhillips 663.06%255.090.0%25.8%101.8%99.7%137.1%345.0%362.8%
CLMTCalumet2.67%53.130.0%34.6%167.4%197.8%   
PRPermian Resources2.63%23.360.0%15.9%69.3%75.0%85.0%415.2%84.8%
CRGYCrescent Energy2.60%13.770.0%20.2%69.0%64.0%18.0%  
APAAPA2.54%42.770.0%13.7%79.0%94.6%8.1%154.8% 
SMSM Energy2.48%36.440.0%26.9%99.0%41.0%-5.9%106.1%8.6%
CNXCNX Resources2.48%37.490.0%6.7%2.0%26.9%67.8%221.3%137.3%
OVVOvintiv2.48%64.760.0%9.1%67.0%61.7%50.5%158.3%52.3%
COPConocoPhillips2.47%134.260.0%14.9%46.6%49.0%21.3%191.6%330.3%
EXEExpand Energy2.44%97.910.0%6.1%-9.7%4.8%21.6%106.5% 
ARAntero Resources2.43%39.410.0%13.5%14.4%20.8%47.8%147.2%43.0%
CVXChevron2.43%208.600.0%12.8%40.7%41.1%41.9%162.6%205.5%
VGVenture Global2.38%14.420.0%8.7%112.0%13.1%   
MTDRMatador Resources2.37%59.150.0%21.5%42.5%26.6%0.9%127.2%168.2%

Guidance Updates for XOP Top Holdings

 

Return vs. Risk

Price Returns Compared

 202120222023202420252026Total [1]
Returns
XOP Return67%45%4%-1%-2%53%272%
Peers Return15%-20%33%13%40%37%170%
S&P 500 Return27%-19%24%23%16%13%106%

Monthly Win Rates [3]
XOP Win Rate58%67%33%42%67%67% 
Peers Win Rate58%45%62%58%67%67% 
S&P 500 Win Rate75%42%67%75%67%56% 

Max Drawdowns [4]
XOP Max Drawdown-27%-33%-20%-21%-30%-19% 
Peers Max Drawdown-20%-37%-19%-18%-26%-18% 
S&P 500 Max Drawdown-5%-25%-10%-8%-19%-9% 


[1] Cumulative total returns since the beginning of 2021
[2] Peers: SMH, SOXX, IBB, XBI, ITA.
[3] Win Rate = % of calendar months in which monthly returns were positive
[4] Max drawdown represents maximum peak-to-trough decline within a year
[5] 2026 data is for the year up to 9/4/2026 (YTD)

Sharpe Ratios Compared

One measure of reward vs. risk is a Sharpe ratio. A higher ratio indicates better risk-adjusted returns. Most funds have Sharpe ratios < 1.0.

Ticker1Y3Y5Y
XOP1.270.350.62
Equity Top Results (3Y)   
IALT2.082.082.08
VLUE2.531.420.74
SPMO0.941.370.79
CORO1.351.331.33
CGDV1.281.310.94

Results as of 8312026.

How Low Can It Go

EventXOPS&P 500
2025 US Tariff Shock
  % Loss-26.8%-18.8%
  % Gain to Breakeven36.5%23.1%
  Time to Breakeven295 days79 days
2023 SVB Regional Banking Crisis
  % Loss-16.3%-6.7%
  % Gain to Breakeven19.5%7.1%
  Time to Breakeven131 days31 days
2020 COVID-19 Crash
  % Loss-60.1%-33.7%
  % Gain to Breakeven150.8%50.9%
  Time to Breakeven322 days140 days
Q4 2018 Fed Policy Error / Growth Scare
  % Loss-45.7%-19.2%
  % Gain to Breakeven84.3%23.8%
  Time to Breakeven1261 days105 days
2016-2017 Trump Reflation Bond Selloff
  % Loss-18.9%-3.7%
  % Gain to Breakeven23.4%3.9%
  Time to Breakeven188 days6 days
2015-2016 China Devaluation / Global Growth Scare
  % Loss-39.0%-12.2%
  % Gain to Breakeven63.9%13.9%
  Time to Breakeven198 days62 days

Compare to SMH, SOXX, IBB, XBI, ITA

In The Past

State Street SPDR S&P Oil & Gas Exploration & Production ETF's stock fell -26.8% during the 2025 US Tariff Shock. Such a loss loss requires a 36.5% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

EventXOPS&P 500
2025 US Tariff Shock
  % Loss-26.8%-18.8%
  % Gain to Breakeven36.5%23.1%
  Time to Breakeven295 days79 days
2020 COVID-19 Crash
  % Loss-60.1%-33.7%
  % Gain to Breakeven150.8%50.9%
  Time to Breakeven322 days140 days
Q4 2018 Fed Policy Error / Growth Scare
  % Loss-45.7%-19.2%
  % Gain to Breakeven84.3%23.8%
  Time to Breakeven1261 days105 days
2015-2016 China Devaluation / Global Growth Scare
  % Loss-39.0%-12.2%
  % Gain to Breakeven63.9%13.9%
  Time to Breakeven198 days62 days
2011 US Debt Ceiling Crisis & European Contagion
  % Loss-38.6%-17.9%
  % Gain to Breakeven62.8%21.8%
  Time to Breakeven668 days123 days
2008-2009 Global Financial Crisis
  % Loss-56.2%-53.4%
  % Gain to Breakeven128.5%114.4%
  Time to Breakeven761 days1085 days

Compare to SMH, SOXX, IBB, XBI, ITA

In The Past

State Street SPDR S&P Oil & Gas Exploration & Production ETF's stock fell -26.8% during the 2025 US Tariff Shock. Such a loss loss requires a 36.5% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

XOP Dip Buy History


Get Notified
Alerts when dip buy opportunities arise.
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Current Dip Buy Opportunities Across ETFs

ETFs currently down 5% or more from trailing 6M peaks.

TickerNameDip %Mkt PricePrice DatePeak PricePeak Date# Days
IWPiShares Russell Mid-Cap Growth ETF-5.4%139.699062026147.70817202620
ASHRXtrackers Harvest CSI 300 China A-Shares ETF-8.3%34.20906202637.30622202676
EWYiShares MSCI South Korea ETF-13.8%188.879062026219.20621202677
EWZiShares MSCI Brazil ETF-9.3%37.86906202641.734142026145
FXIiShares China Large-Cap ETF-6.2%35.88906202638.265132026116
ILFiShares Latin America 40 ETF-5.3%36.07906202638.104142026145
KWEBKraneShares CSI China Internet ETF-15.9%26.05906202630.993102026180
MTUMiShares MSCI USA Momentum Factor ETF-11.7%304.869062026345.22622202676
SPHQInvesco S&P 500 Quality ETF-5.3%85.32906202690.10630202668
SPMOInvesco S&P 500 Momentum ETF-7.4%149.729062026161.66622202676
URAGlobal X Uranium ETF-20.9%46.06906202658.265062026123
BOTZGlobal X Funds Global X Robotics & Artificial Intelligence ETF-13.6%35.95906202641.635132026116
ROBOROBO Global Robotics & Automation Index ETF-10.8%80.57906202690.34602202696
LITGlobal X Lithium & Battery Tech ETF-19.0%74.18906202691.625112026118
ICLNiShares Global Clean Energy ETF-25.2%17.77906202623.75602202696
ARKQARK Autonomous Technology & Robotics ETF-15.0%122.259062026143.825282026101
ARKXARK Space & Defense Innovation ETF-14.6%32.22906202637.745282026101
NASATema Space Innovators ETF-43.9%23.52906202641.895272026102
AGIXKraneShares Artificial Intelligence ETF-7.0%45.93906202649.40601202697
XLKState Street Technology Select Sector SPDR ETF-5.5%187.289062026198.21602202696
XLIState Street Industrial Select Sector SPDR ETF-6.0%175.279062026186.51816202621
XLCState Street Communication Services Select Sector SPDR ETF-5.9%112.039062026119.104192026140
XLYState Street Consumer Discretionary Select Sector SPDR ETF-5.9%114.919062026122.065282026101
XLUState Street Utilities Select Sector SPDR ETF-8.6%43.08906202647.154092026150
IYJiShares U.S. Industrials ETF-5.2%161.109062026169.86804202633
SMHVanEck Semiconductor ETF-15.2%567.019062026668.91622202676
SOXXiShares Semiconductor ETF-20.6%519.869062026655.01622202676
ITAiShares U.S. Aerospace & Defense ETF-10.9%225.619062026253.22816202621
IGViShares Expanded Tech-Software Sector ETF-5.2%104.579062026110.32827202610
IYTiShares U.S. Transportation ETF-6.5%84.17906202690.01716202652
MISLFirst Trust Indxx Aerospace & Defense ETF-12.0%43.53906202649.463092026181
RINGiShares MSCI Global Gold Miners ETF-6.2%87.40906202693.17825202612
SOXQInvesco PHLX Semiconductor ETF-19.7%92.409062026115.11622202676
TLTiShares 20+ Year Treasury Bond ETF-6.1%82.21906202687.523092026181
SPTLState Street SPDR Portfolio Long Term Treasury ETF-5.3%25.12906202626.523092026181
EDVVanguard World Funds Extended Duration ETF-8.9%60.29906202666.203092026181
GSGiShares GSCI Commodity-5.8%30.01906202631.853182026172
GLDSPDR Gold Trust-14.9%406.779062026477.863102026180
IAUiShares Gold Trust-14.8%83.39906202697.853102026180
GLDMSPDR Gold MiniShares Trust-14.7%87.739062026102.893102026180
SGOLETFS Physical Swiss Gold Shares-9.8%44.66906202649.533102026180
BARDirexion Daily Gold Bull 3X Shares-13.4%44.34906202651.203102026180
SLViShares Silver Trust-25.3%59.82906202680.093102026180
PPLTETFS Physical Platinum Shares-17.5%16.50906202620.003102026180
CPERUnited States Copper Index Fund ETV-7.7%33.33906202636.123112026179
PALLETFS Physical Palladium Shares-17.4%25.31906202630.643092026181
USOUnited States Oil Fund LP-7.2%141.969062026152.965192026110
UNGUnited States Natural Gas Fund LP-19.0%10.56906202613.043122026178
BNOUnited States Brent Oil Fund LP ETV-7.1%55.85906202660.135042026125
SCHHSchwab U.S. REIT ETF-5.7%23.45906202624.86726202642
REETiShares Global REIT ETF-5.2%27.40906202628.89726202642
USRTiShares Core U.S. REIT ETF-6.4%65.34906202669.82726202642

ETF Fund Flows

Largest fund inflows and outflows across ETFs, with the asset-allocation rotation they imply.

Net fund flows · as of 2026-09-04

Asset allocation rotation · Past month

  • Equity ETFs drew the largest net inflows (+$31.0B), followed by Bond (+$17.5B), while Real Estate (−$297M) saw the largest outflows.
  • Within the mix, money rotated into Short Treasury (+$9.3B) and out of Intermediate Treasury (−$8.9B).
  • Relative to fund size, CNEQ drew the largest inflow (+84.1% of AUM) and SNXX the largest outflow (−28.3%).
Largest inflows
#TickerNameTypeNet flow% of AUM
1VOOVanguard S&P 500 ETFEquity US Large Cap Core+$31.77B+3.1%
2TLTiShares 20+ Year Treasury Bond ETFBond Long Treasury+$6.63B+14.1%
3SGOViShares 0-3 Month Treasury Bond ETFCash+$6.09B+5.8%
4SPYState Street SPDR S&P 500 ETFEquity US Large Cap Core+$5.8B+0.7%
5VTIVanguard Morningstar Total Stock Market ETFEquity US Total Market+$5.65B+0.8%
6GLDSPDR Gold SharesCommodity Gold+$5.3B+3.6%
7VGSHVanguard Short-Term Treasury ETFBond Short Treasury+$4.67B+15.2%
8SCHDSchwab U.S. Dividend Equity ETFEquity Dividend Income+$3.5B+3.1%
9AVLVAvantis U.S. Large Cap Value ETFOther+$3.29B+15.3%
10IBITiShares Bitcoin Trust ETFCrypto+$2.86B+4.9%
Largest outflows
#TickerNameTypeNet flow% of AUM
1IVViShares Core S&P 500 ETFEquity US Large Cap Core-$36.31B-4.1%
2IEFiShares 7-10 Year Treasury Bond ETFBond Intermediate Treasury-$4.82B-11.2%
3XLFState Street Financial Select Sector SPDR ETFEquity Broad Sector-$3.74B-6.7%
4LQDiShares iBoxx $ Investment Grade Corporate Bond ETFBond Intermediate Corporate-$2.82B-8.6%
5VGITVanguard Intermediate-Term Treasury ETFBond Intermediate Treasury-$2.5B-5.9%
6HYGiShares iBoxx $ High Yield Corporate Bond ETFBond High Yield Corporate-$2.45B-14.6%
7GOVTiShares U.S. Treasury Bond ETFBond Intermediate Treasury-$1.86B-4.2%
8DIAState Street SPDR Dow Jones Industrial Average ETF TrustEquity US Large Concentrated-$1.56B-3.4%
9DRAMRoundhill Memory ETFOther-$1.36B-5.2%
10XLIState Street Industrial Select Sector SPDR ETFEquity Broad Sector-$1.08B-3.2%

Largest ETF fund flows across ~2629 funds (min AUM $100M). Net creations/redemptions; leveraged & inverse ETFs excluded. A ⚠ marks a day excluded as a suspected data error.

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About XOP

0Holdings Count: 51
Expense Ratio: 0.35%
Inception Date: 2006-06-19
State Street SPDR S&P Oil & Gas Exploration & Production ETF
This State Street SPDR ETF aims to deliver investment results that, prior to fees and expenses, generally mirror the total return performance of the S&P Oil & Gas Exploration & Production Select Industry Index. It offers investors targeted exposure to the oil and gas exploration and production segment of the S&P TMI, which includes the Integrated Oil & Gas, Oil & Gas Exploration & Production, and Oil & Gas Refining & Marketing sub-industries. The fund tracks a modified equal-weighted index, providing diversified industry representation across large, mid, and small-cap companies. This structure enables investors to implement more precise strategic or tactical positions compared to broader sector-based investment approaches.
Asset Class: Equity | ETF Website

Recent Active Movers

Peer Comparisons

Peers to compare with:

Profile

XOPSMHSOXXIBBXBIITAMedian
NameState Stre.VanEck Sem.iShares Se.iShares Bi.State Stre.iShares U.. 
Asset ClassEquityEquityEquityEquityEquityEquity-
AUM ($ Bil)4.266.641.010.711.513.312.4
Expense Ratio0.35%0.35%0.33%0.44%0.35%0.37%0.35%
10-D Avg Volume (Mil)3.3710.489.471.558.760.746.06
Latest Day Volume (Mil)0.512.173.020.621.70-1.70
Holdings Count5126302471544850
Inception Date6/19/200612/20/20117/9/20012/4/20011/31/20064/30/2006-

Fundamentals

XOPSMHSOXXIBBXBIITAMedian
NameState Stre.VanEck Sem.iShares Se.iShares Bi.State Stre.iShares U.. 
Net Asset Value192.40550.64501.55213.81164.46223.28-
Premium/Discount-0.9%3.0%3.7%-0.9%-0.4%1.0%0.3%
Distribution Yield1.7%0.2%0.3%0.2%0.3%0.0%0.2%
Sales Yield114.8%7.6%7.9%12.0%8.5%31.6%10.3%
Earnings Yield7.6%2.5%2.2%1.8%1.3%2.8%2.4%

Valuation

XOPSMHSOXXIBBXBIITAMedian
NameState Stre.VanEck Sem.iShares Se.iShares Bi.State Stre.iShares U.. 
P/S (TTM)0.9x13.1x12.6x8.4x11.7x3.2x10.0x
P/E (TTM)13.2x39.8x45.1x54.8x78.5x36.1x42.5x
P/FCF (TTM)16.0x47.9x52.4x--38.0x42.9x
Forward P/E10.9x---60.9x29.6x29.6x
Forward P/S0.8x---7.8x2.8x2.8x

Risk

XOPSMHSOXXIBBXBIITAMedian
NameState Stre.VanEck Sem.iShares Se.iShares Bi.State Stre.iShares U.. 
Volatility (1Y)28.9%39.3%45.4%21.8%27.9%23.2%28.4%
Volatility (3Y)28.2%36.8%39.4%20.9%27.9%20.1%28.1%
Volatility (5Y)33.2%36.7%38.5%22.2%32.3%20.3%32.8%
Beta (1Y)-0.322.372.580.791.061.041.05
Beta (3Y)0.661.972.050.821.030.850.94
Beta (5Y)0.841.761.810.861.150.811.01
Sharpe Ratio (1Y)1.471.911.902.012.160.681.91
Sharpe Ratio (3Y)0.511.371.160.901.001.231.08
Sharpe Ratio (5Y)0.730.980.830.310.300.880.78
Max Drawdown (1Y)-18.7%-24.6%-29.0%-9.6%-10.5%-15.8%-17.3%
Max Drawdown (3Y)-35.0%-35.7%-41.4%-24.9%-33.0%-15.8%-34.0%
Max Drawdown (5Y)-35.0%-45.3%-45.8%-39.7%-54.0%-18.7%-42.5%

Returns

XOPSMHSOXXIBBXBIITAMedian
NameState Stre.VanEck Sem.iShares Se.iShares Bi.State Stre.iShares U.. 
1M Return14.2%-0.8%-2.4%9.8%6.0%-9.8%2.6%
3M Return14.9%-0.5%-3.7%25.8%27.3%-1.7%7.2%
6M Return16.7%49.0%60.8%26.6%32.1%-6.8%29.3%
YTD Return51.7%57.4%72.7%25.7%34.3%5.2%43.0%
1Y Return46.8%96.2%113.8%51.4%75.9%14.1%63.6%
2Y Return42.6%134.7%127.5%43.8%62.4%54.5%58.4%
3Y Return37.1%269.4%213.6%64.6%106.7%97.4%102.1%

Short Interest

Short Interest: As Of Date8142026
Short Interest: Shares Quantity13.9 Mil
Short Interest: % Change Since 73120265.9%
Average Daily Volume2.9 Mil
Days-to-Cover Short Interest4.7 days