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International
Developed International Equity

Designed to track indices that comprise developed market equities.

Name Ticker Expense Ratio
DJ EURO STOXX 50 ETF  FEZ 0.32%

Key Benefits:

  • Pure exposure to large cap securities specific to the Eurozone — the only US-listed ETF in its class
  • Lower expense ratio than many other European index-based ETFs

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DJ STOXX 50 ETF  FEU 0.31%

Key Benefits:

  • Biased towards the largest and most enduring companies in the pan-European region, designed to maintain a high degree of liquidity and to avoid the potential risk associated with smaller cap companies
  • Lower expense ratio than many other European index-based ETFs

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SPDR DJ Global Titans ETF  DGT 0.50%

Key Benefits:

  • Precise exposure to the world’s 50 largest global companies
  • Low turnover and accurate tracking
  • Cost effective*

Research, commentary and information available for this fund:


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SPDR Russell/Nomura PRIME Japan ETF  JPP 0.51%

Key Benefits:

  • Gain diversified exposure to Japanese equities in a single trade with over 1,000 securities
  • Lower costs and broader exposure than competing ETFs
  • Efficient and cost effective*

Research, commentary and information available for this fund:


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SPDR Russell/Nomura Small Cap Japan ETF  JSC 0.56%

Key Benefits:

  • Growing domestic consumption and demand, increased foreign direct investment and higher levels of corporate investment are potential catalysts for the international Japanese market
  • Broad exposure to Japanese small caps
  • By omitting some of the smaller and less liquid securities in the index, the fund seeks to lower portfolio transaction costs, improve liquidity and maintain close tracking of the underlying index

Research, commentary and information available for this fund:


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SPDR S&P International Consumer Staples Sector ETF  IPS 0.50%

Key Benefits:

  • Transparent and cost effective* access to non-US sectors
  • Tracks securities of the Consumer Staples sector in the S&P®/Citigroup BMI World ex US universe
  • Employs an index methodology that is market-cap weighted and uses the widely adopted GICS system
  • Precise exposure to developed international equities
  • International diversification

Research, commentary and information available for this fund:


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SPDR S&P International Energy Sector ETF  IPW 0.50%

Key Benefits:

  • Transparent and cost effective* access to non-US sectors
  • Tracks securities of the Energy sector in the S&P®/Citigroup BMI World ex US universe
  • Employs an index methodology that is market-cap weighted and uses the widely adopted GICS system
  • Precise exposure to developed international equities
  • International diversification

Research, commentary and information available for this fund:


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SPDR S&P International Financial Sector ETF  IPF 0.50%

Key Benefits:

  • Transparent and cost effective* access to non-US sectors
  • Tracks securities of the Financial sector in the S&P®/Citigroup BMI World ex US universe
  • Employs an index methodology that is market-cap weighted and uses the widely adopted GICS system
  • Precise exposure to developed international equities
  • International diversification

Research, commentary and information available for this fund:


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SPDR S&P International Health Care Sector ETF  IRY 0.50%

Key Benefits:

  • Transparent and cost effective* access to non-US sectors
  • Tracks securities of the Health Care sector in the S&P®/Citigroup BMI World ex US universe
  • Employs an index methodology that is market-cap weighted and uses the widely adopted GICS system
  • Precise exposure to developed international equities
  • International diversification

Research, commentary and information available for this fund:


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SPDR S&P International Materials Sector ETF  IRV 0.50%

Key Benefits:

  • Transparent and cost effective* access to non-US sectors
  • Tracks securities of the Materials sector in the S&P®/Citigroup BMI World ex US universe
  • Employs an index methodology that is market-cap weighted and uses the widely adopted GICS system
  • Precise exposure to developed international equities
  • International diversification

Research, commentary and information available for this fund:


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SPDR S&P International Mid Cap ETF  MDD 0.45%

Key Benefits:

  • Seeks to provide risk/return characteristics distinct from small cap and large cap asset classes
  • Features true mid cap median capitalization: $3.1 billion
  • Offers broad exposure to international mid cap securities

Research, commentary and information available for this fund:


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SPDR S&P International Small Cap ETF  GWX 0.60%

Key Benefits:

  • The first market-cap weighted, broad-based International Small Cap ETF available to investors in the US
  • International small cap performance without exposure to emerging markets
  • A low correlation to US equities and other international vehicles provides risk dilution

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SPDR S&P International Technology Sector ETF  IPK 0.50%

Key Benefits:

  • Transparent and cost effective* access to non-US sectors
  • Tracks securities of the Technology sector in the S&P®/Citigroup BMI World ex US universe
  • Employs an index methodology that is market-cap weighted and uses the widely adopted GICS system
  • Precise exposure to developed international equities
  • International diversification

Research, commentary and information available for this fund:


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SPDR S&P International Telecommunications Sector ETF  IST 0.50%

Key Benefits:

  • Transparent and cost effective* access to non-US sectors
  • Tracks securities of the Telecommunications sector in the S&P®/Citigroup BMI World ex US universe
  • Employs an index methodology that is market-cap weighted and uses the widely adopted GICS system
  • Precise exposure to developed international equities
  • International diversification

Research, commentary and information available for this fund:


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SPDR S&P International Utilities Sector ETF  IPU 0.50%

Key Benefits:

  • Transparent and cost effective* access to non-US sectors
  • Tracks securities of the Utilities sector in the S&P®/Citigroup BMI World ex US universe
  • Employs an index methodology that is market-cap weighted and uses the widely adopted GICS system
  • Precise exposure to developed international equities
  • International diversification

Research, commentary and information available for this fund:


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SPDR® S&P® International Consumer Discretionary Sector ETF  IPD 0.50%

Key Benefits:

  • Transparent and cost effective* access to non-US sectors
  • Tracks securities of the Consumer Discretionary sector in the S&P®/Citigroup BMI World ex US universe
  • Employs an index methodology that is market-cap weighted and uses the widely adopted GICS system
  • International diversification

Research, commentary and information available for this fund:


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SPDR® S&P® World ex-US ETF  GWL 0.60%

Key Benefits:

  • Exposure to Canada, South Korea, Luxembourg, Iceland and Slovenia — countries that the MSCI EAFE Index excludes
  • The underlying index has significantly more exposure to the international small cap universe than the MSCI EAFE Index
  • Potentially reduces the concentrated stock and country-specific risk that often accompanies international investing

Research, commentary and information available for this fund:


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Emerging International Equity

Designed to track indices that comprise emerging market equities.

Name Ticker Expense Ratio
SPDR S&P BRIC 40 ETF  BIK 0.40% †

Key Benefits:

  • Immediate exposure to difficult-to-access BRIC securities (including Gazprom), 4 of the fastest growing emerging markets, in a single trade
  • Expense ratio is lower than its lone ETF competitor and far lower than BRIC mutual funds
  • Low turnover and accurate tracking

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SPDR S&P China ETF  GXC 0.60%

Key Benefits:

  • Covering a greater range of the Chinese equity market than existing China-based benchmarks, its underlying index holds 3 times as many companies as competing China ETFs
  • Attractive expense ratio
  • Pure exposure to Chinese equities, avoiding the use of indirect investments

Research, commentary and information available for this fund:


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SPDR S&P Emerging Asia Pacific ETF  GMF 0.60%

Key Benefits:

  • The only broad-based emerging Asia Pacific ETF, with access to emerging China, India, Taiwan, Malaysia, Indonesia Thailand, the Philippines and Pakistan, potentially mitigating country-specific risk
  • Use in tandem with other SPDR emerging market ETFs for precise regional emerging market investment

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SPDR S&P Emerging Europe ETF  GUR 0.60%

Key Benefits:

  • The only broad-based emerging Europe ETF offering access to emerging Poland, Russia, Czech Republic, Turkey and Hungary and potentially mitigating country-specific risk
  • Use in tandem with other SPDR emerging market ETFs for precise regional emerging market investment

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SPDR S&P Emerging Latin America ETF  GML 0.60%

Key Benefits:

  • Broader exposure to emerging Latin American countries and higher market capitalization than competing ETFs
  • By omitting some of the smaller and less liquid securities in the index, the portfolio management team seeks to lower portfolio transaction costs, improve liquidity and closely track the underlying index
  • Unhedged with respect to currency exposure

Research, commentary and information available for this fund:


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SPDR S&P Emerging Markets ETF  GMM 0.60%

Key Benefits:

  • Broad exposure to over 1,900 securities across 26 emerging market countries helps dampen risk in a volatile asset class
  • Exclusion of Korea results in a higher proportional index weight in the all-important Brazil/Russia/India/China (BRIC) region
  • Low turnover and accurate tracking

Research, commentary and information available for this fund:


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SPDR S&P Emerging Markets Small Cap ETF  EWX 0.65%

Key Benefits:

  • Seeks to provide broad exposure to an equity segment poised for growth
  • Features small cap median capitalization: $874 million
  • Offers significant exposure to Asia, Middle East, and Africa
  • Allows access to sectors that have the potential to drive the next phase of emerging markets growth: industrials, consumer staples, and technology±

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SPDR S&P® Emerging Middle East & Africa ETF  GAF 0.60%

Key Benefits:

  • Currently the only available ETF that offers precise exposure to the emerging Middle East and Africa region
  • Unhedged with respect to currency exposure
  • Low turnover and accurate tracking

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World Markets

Designed to track world markets including the US.

Name Ticker Expense Ratio
SPDR DB International Government Inflation-Protected Bond ETF  WIP 0.50%

Key Benefits:

  • Inflation-protected investments
  • Access to government inflation-protected securities from 18 countries
  • Exposure to foreign currency

Research, commentary and information available for this fund:


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SPDR DJ Wilshire International Real Estate ETF  RWX 0.60%

Key Benefits:

  • Efficient, diversified, liquid exposure to the expanding international real estate market
  • May provide a lower standard deviation than the MSCI World Real Estate Index
  • Combined with the SPDR DJ Wilshire REIT ETF (RWR), investors can gain diversified exposure to the entire global real estate securities market in just two trades

Research, commentary and information available for this fund:


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SPDR FTSE/Macquarie Global Infrastructure 100 ETF  GII 0.60%

Key Benefits:

  • Precise exposure to infrastructure-related stocks, one of the world’s largest growing industries
  • Well-diversified, with 100 securities spanning 14 countries across emerging and developed economies
  • Efficient and cost effective*

Research, commentary and information available for this fund:


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SPDR MSCI ACWI ex-US ETF  CWI 0.35%

Key Benefits:

  • Access to virtually all developed and emerging markets outside the US in one trade
  • Exposure to resource-rich Canada, unlike the MSCI EAFE and the MSCI Emerging Markets Indexes
  • Efficient and cost effective*

Research, commentary and information available for this fund:


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SPDR S&P International Dividend ETF  DWX 0.45%

Key Benefits:

  • Cost-efficient exposure to 100 high-yielding international stocks*
  • A screen to include only stocks with positive 5-year earnings growth
  • A 25% cap on financial services stock exposure
  • A 10% cap on emerging markets stock exposure

Research, commentary and information available for this fund:


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