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SPDR Portfolio Europe ETF (SPEU) Precio de Acción, Cotización, Noticias e Historial

SPEUARCA
Logotipo presentado por Benzinga Data
$51.01
-0.06-0.12%
al cierre: Dec 8, 4:00 PM EST
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Sector
Financial Services
Region
US
AUM
721.52M
Fund Score

Estadísticas Clave

Apertura
$51.09
Máximo
$51.09
Máximo de 52 semanas
$51.36
AUM
721.52M
Dividendo
$1.99
Fecha Ex-Div
jun 23, 2025
Volumen
27.29K
Capitalización bursátil
$576.80B
Tarifa de gestión
0.07%
Ratio PER
9.78
Cierre anterior
$51.07
Mínimo
$50.88
Mínimo de 52 semanas
$38.99
Acciones en circulación
6.70M
Rendimiento
4.15%
Frec. de Div.
Trimestral
Promedio Volumen diario
99.55K
Beta
0.94
Promedio Relación de gastos
0.07%
Relación P/B
1.00

PREGUNTAS FRECUENTES

Q

¿Cómo puedo comprar la acción de SPDR Portfolio Europe ETF (SPEU)?

A

Puedes comprar acciones de SPDR Portfolio Europe ETF (ARCA:SPEU) a través de cualquier corretaje en línea.

Consulta nuestra lista de los mejores corretajes de bolsa

Q

¿Quiénes son los competidores de SPDR Portfolio Europe ETF (SPEU)?

A

No hay competidores como tal para SPDR Portfolio Europe ETF.

Q

¿Cuál es el pronóstico o precio objetivo para las acciones de SPDR Portfolio Europe ETF (SPEU)?

A

No existe ningún análisis de SPDR Portfolio Europe ETF que proporcione un precio objetivo de consenso.

Q

¿Cuál es el precio actual de las acciones de SPDR Portfolio Europe ETF (SPEU)?

A

El precio de las acciones de SPDR Portfolio Europe ETF (ARCA: SPEU) es de dólares, actualizado por última vez el .

Q

¿SPDR Portfolio Europe ETF (SPEU) paga dividendos?

A

No hay dividendos previstos para SPDR Portfolio Europe ETF.

Q

¿Cuándo SPDR Portfolio Europe ETF (ARCA:SPEU) publicará los resultados?

A

No hay informes de resultados previstos para SPDR Portfolio Europe ETF.

Q

¿SPDR Portfolio Europe ETF (SPEU) se va a dividir?

A

No hay ninguna división de acciones prevista para SPDR Portfolio Europe ETF.

Estadísticas Clave

Apertura
$51.09
Máximo
$51.09
Máximo de 52 semanas
$51.36
AUM
721.52M
Dividendo
$1.99
Fecha Ex-Div
jun 23, 2025
Volumen
27.29K
Capitalización bursátil
$576.80B
Tarifa de gestión
0.07%
Ratio PER
9.78
Cierre anterior
$51.07
Mínimo
$50.88
Mínimo de 52 semanas
$38.99
Acciones en circulación
6.70M
Rendimiento
4.15%
Frec. de Div.
Trimestral
Promedio Volumen diario
99.55K
Beta
0.94
Promedio Relación de gastos
0.07%
Relación P/B
1.00

Acerca de

Sector
NULO
Industria
NULO
ETF Details
SectorFinancial Services
CategoryMid Performer-Mid Growth
Investment StyleLarge Cap Blend
Fund Inceptionoct 15, 2002
Managers
Mark Krivitsky
Karl Schneider
DefinitionMost of the stocks in this equity fund have average financial performance and average growth potential
Investment Policy
In seeking to track the performance of the STOXX Europe Total Market Index (the Index), the Fund employs a sampling strategy, which means that the Fund is not required to purchase all of the securities represented in the Index. Instead, the Fund may purchase a subset of the securities in the Index in an effort to hold a portfolio of securities with generally the same risk and return characteristics of the Index. The quantity of holdings in the Fund will be based on a number of factors, including asset size of the Fund. Based on its analysis of these factors, SSGA Funds Management, Inc. (SSGA FM or the Adviser), the investment adviser to the Fund, either may invest the Fund's assets in a subset of securities in the Index or may invest the Fund's assets in substantially all of the securities represented in the Index in approximately the same proportions as the Index, as determined by the Adviser to be in the best interest of the Fund in pursuing its objective. The Fund is classified as diversified under the Investment Company Act of 1940, as amended; however, the Fund may become non-diversified solely as a result of tracking the Index (e.g., changes in weightings of one or more component securities). When the Fund is non-diversified, it may invest a relatively high percentage of its assets in a limited number of issuers.
Top ETF Holdings
SymbolNameShare %
CONovo Nordisk A/S B Com...1.24%
ASAsml Holding Nv2.61%
SMNovartis Ag1.68%
LNAstrazeneca Plc1.74%
SGSap Se1.83%
PASchneider Electric S.E...1.11%
MUSiemens Ag Reg1.37%
DBAllianz Se Reg1.12%