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Global ETF Survey 2026: Answer now →

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Global ETF Survey 2026

The ETF Industry Is Evolving Fast

From AI infrastructure to active strategies, the ETF landscape is shifting. Share your perspective in the 7th Annual Global ETF Survey.

Global ETF Survey 2026
XAR

State Street SPDR S&P Aerospace & Defense ETF

The SPDR S&P Aerospace & Defense ETF (USD) is an exchange-traded fund that provides investment exposure to the aerospace and defense sector. This ETF, categorized under Sector Equity as per the Global Industry Classification Standard (GICS), enables individuals to access companies involved in the manufacturing, assembly, and distribution of aviation and defense equipment. The ETF's underlying index is the S&P Aerospace & Defense Select Industry Index. The constituents of this index include firms drawn from the S&P Total Market Index that are part of the aerospace or defense industry. Sub-industries represented within the fund's portfolio cover a wide spectrum including Aerospace & Defense, Industrial Conglomerates, IT Consulting & Other Services, and Application Software among others. One of its distinguishing features is its modified equal-weighted methodology for choosing holdings within the index. This ensures broad exposure across all company sizes, not just disproportionately towards large-cap firms. As with any investment product, investing in SPDR S&P Aerospace & Defense ETF entails certain risks, and investors are advised to consider these factors before taking any action. It is critical that individual investors thoroughly research this fund using reliable sources of financial information, and evaluate its alignment with their personal investment objectives, risk tolerance, investment horizon, and overall portfolio composition. In conclusion, SPDR S&P Aerospace & Defense ETF offers potentially advantageous exposure for those interested in having a stake in the aerospace and defense sectors. Yet each investor must conduct careful due diligence before undertaking this or any investment decision.

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Key risk metrics
Annualized volatility 1Y
28.13%
Perf./Volatility
0.82
Skewness
Excess Kurtosis
Max. drawdown
Length of drawdown (days)
Recovery time (days)
1-day 95% CVaR
1-day 99% CVaR
Synthetic Risk Indicator (SRI)
UCITSN/A
PRIIPSN/A

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Historical drawdowns
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