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SPTU State Street® SPDR® Portfolio Ultra Short T-Bill ETF

NAV

NAV

The market value of a mutual fund's or ETFs total assets, minus liabilities, divided by the number of shares outstanding.

$25.02
as of Dec 04 2025
Base Currency
USD
Assets Under Management
$10.51 M
as of Dec 04 2025
Gross Expense Ratio

Gross Expense Ratio

The fund's total annual operating expense ratio. It is gross of any fee waivers or expense reimbursements. It can be found in the fund's most recent prospectus.

0.05%

Key Features

  • The State Street® SPDR® Portfolio Ultra Short T-Bill ETF seeks to provide investment results that, before fees and expenses, correspond generally to the price and yield performance of the ICE BofA US Treasury Bill Index
  • A low-cost ETF seeking to provide exposure to US Treasury Bills publicly issued in the US domestic market that have a remaining maturity greater than or equal to 1 month and less than 12 months
  • Part of the low-cost core State Street SPDR Portfolio ETF suite, a family of asset allocation building blocks designed to provide broad, diversified exposure to core asset classes

About this Benchmark

ICE BofA US Treasury Bill Index (the “Index”) tracks the performance of US dollar denominated US Treasury Bills publicly issued in the US domestic market. Qualifying securities must have at least one month remaining term to final maturity and a minimum amount outstanding of $1 billion. Securities issued or marketed primarily to retail investors are excluded. Index constituents are market capitalization weighted. The index is rebalanced on the last calendar day of the month.

Fund Information as of Dec 05 2025

Benchmark ICE BofA US Treasury Bill Index
Inception Date Oct 07 2025
Options Available No
Gross Expense Ratio

Gross Expense Ratio

The fund's total annual operating expense ratio. It is gross of any fee waivers or expense reimbursements. It can be found in the fund's most recent prospectus.

0.05%
Base Currency USD
Administrator State Street Global Advisors Funds Management Inc.
Investment Manager SSGA Funds Management, Inc.
Management Team Global Fixed Income, Cash and Currency
Distributor State Street Global Advisors Funds Distributors, LLC
Distribution Frequency Monthly

Listing Information as of Dec 05 2025

Exchange Listing Date Trading Currency Ticker CUSIP ISIN
NYSE ARCA Oct 08 2025 USD SPTU 78468R432 US78468R4323

Fund Characteristics as of Dec 04 2025

Number of Holdings 46
Average Coupon

Average Coupon

The market value weighted average coupon of the bonds in a portfolio.

0.00%
Average Maturity in Years

Average Maturity

The market value-weighted average maturity of the bonds and loans in a portfolio, where maturity is the length of time during which the investor will receive interest payments on the investment. When the bond reaches maturity the principal is repaid.

0.26
Average Price

Average Price The weighted average of each asset’s market price relative to its face value or par value.

$98.97
Average Yield To Worst

Average Yield To Worst

The lowest potential yield that can be received on a bond without the issuer actually defaulting. The YTW is calculated by making worst-case scenario assumptions on the issue by calculating the return that would be received if the issuer uses provisions, including prepayments. When aggregating YTW for a portfolio level statistic, the weighted average of the YTW and market value for each security is used.

3.68%
Option Adjusted Duration

Option Adjusted Duration

Also known as effective duration which is a duration calculation that takes into account the effect of embedded options in bonds. An option-adjusted measure of a bond's (or portfolio's) sensitivity to changes in interest rates calculated as the average percentage change in a bond's value (price plus accrued interest) under shifts of the Treasury curve +/- 100 bps. 

0.25 years
Yield to Maturity

Yield to Maturity

The market weighted average rate of return anticipated on the bonds held in a portfolio if they were to be held to their maturity date.

3.68%

Index Characteristics as of Dec 04 2025

Number of Holdings 41
Average Coupon 0.00%
Average Maturity in Years 0.26
Average Price $99.06
Average Yield To Worst 3.68%
Option Adjusted Duration 0.26 years
Yield to Maturity 3.68%

Yields as of Dec 03 2025

30 Day SEC Yield

30 Day SEC Yield

(Also known as Standardized Yield) An annualized yield that is calculated by dividing the net investment income earned by the fund over the most recent 30-day period by the maximum offering price on the last day of the period.

3.79%
30 Day SEC Yield (Unsubsidized)

30 Day SEC Yield (Unsubsidized)

An annualized yield that is calculated by dividing the net investment income earned by the fund over the most recent 30-day period by the current maximum offering price that does not account for expense ratio waivers.

-

Fund Market Price(4:00PM ET) as of Dec 04 2025

Bid/Ask

Bid/Ask Mid Point

(Also known as Mid Price) The price between the best price of the sellers for a trading unit of a given security and the best price of the buyer of a trading unit of a given security.

$25.02
Closing Price

Closing Price

Market Price of last reported trade on the exchange.

$25.02
Day High $25.02
Day Low $25.02
Exchange Volume (Shares)

Exchange Volume (shares)

Represents the volume of shares traded on the ETF's primary exchange throughout the previous business day.

1
Premium/Discount

Premium/Discount to NAV

Shows the comparison of the daily net asset value (NAV) and the Midpoint of the closing bid/ask for each of the funds calculated as ((4PM Bid/Ask - Closing NAV) / Closing NAV * 100)

0.02%
30-Day Median Bid/Ask Spread

The median bid-ask spread is calculated by identifying national best bid and national best offer ("NBBO") for each Fund as of the end of each 10 second interval during each trading day of the last 30 calendar days and dividing the difference between each such bid and offer by the midpoint of the NBBO. The median of those values is identified and posted on each business day.

0.04%

Premium Discount to NAV Graph and Summary

The line graph and table below show historical information about the differences between the daily closing price for shares of the fund (as determined by the fund’s listing exchange) and the fund’s net asset value over certain periods. The vertical axis of the line graph shows the premium/discount expressed as a percentage of NAV. The horizontal axis indicates the date at which the premium/discount occurred. The table shows the number of trading days in which the fund traded at a premium or at a discount to NAV.

Number of Days Summary

Calendar Year 2024 First Quarter of 2025 Second Quarter of 2025 Third Quarter of 2025
Days Traded at Premium

Number of days the ETF 4PM Bid/Ask was above the NAV.

- - - -
Days Traded at Discount

Number of days the ETF 4PM Bid/Ask was below the NAV.

- - - -

Because ETFs trade like stocks at current market prices, shareholders may pay more than a fund’s NAV when purchasing fund shares and may receive less than a fund’s NAV when selling fund shares.

Premium/Discount information will be displayed in the Number of Days Summary table following the completion of the current calendar quarter.

Before investing, consider the funds' investment objectives, risks, charges and expenses. To obtain a prospectus or summary prospectus which contains this and other information, call 1-866-787-2257 download a prospectus or summary prospectus now, or talk to your financial advisor. Read it carefully before investing.

Intraday Fund Market Price & Net Asset Value (12:00 PM ET) as of Dec 04 2025

Bid/Ask $25.02
NAV $25.02
Premium/Discount 0.03%

Fund Net Cash Amount as of Dec 04 2025

Net Cash Amount $10,211.55

Fund Net Asset Value (4:00PM ET) as of Dec 04 2025

NAV

NAV

The market value of a mutual fund's or ETFs total assets, minus liabilities, divided by the number of shares outstanding.

$25.02
Shares Outstanding 420,000.00
Assets Under Management $10.51 M

Top Holdings

Subject to change.

as of Dec 03 2025
as of Dec 04 2025

Fund Top Holdings as of Dec 03 2025

Name Market Value ISIN Weight
TREASURY BILL 01/26 0.00000 641,110.02 US912797RA77 6.10%
TREASURY BILL 01/26 0.00000 615,827.99 US912797RH21 5.86%
TREASURY BILL 02/26 0.00000 531,872.80 US912797PM34 5.06%
TREASURY BILL 01/26 0.00000 491,555.53 US912797PD35 4.68%
TREASURY BILL 02/26 0.00000 407,398.88 US912797RL33 3.88%
TREASURY BILL 02/26 0.00000 407,123.22 US912797RT68 3.87%
TREASURY BILL 02/26 0.00000 406,549.11 US912797RU32 3.87%
TREASURY BILL 01/26 0.00000 396,679.67 US912797SE80 3.78%
TREASURY BILL 01/26 0.00000 396,108.62 US912797SG39 3.77%
TREASURY BILL 01/26 0.00000 391,423.85 US912797SF55 3.73%

Index Top Holdings as of Dec 04 2025

Name ISIN Weight
TREASURY BILL 0 01/02/2026 US912797RA77 5.97%
TREASURY BILL 0 01/08/2026 US912797RH21 5.79%
TREASURY BILL 0 02/19/2026 US912797PM34 4.92%
TREASURY BILL 0 01/22/2026 US912797PD35 4.90%
TREASURY BILL 0 02/12/2026 US912797RT68 3.85%
TREASURY BILL 0 01/29/2026 US912797RK59 3.82%
TREASURY BILL 0 02/05/2026 US912797RL33 3.79%
TREASURY BILL 0 02/26/2026 US912797RU32 3.76%
TREASURY BILL 0 01/15/2026 US912797RJ86 3.75%
TREASURY BILL 0 01/06/2026 US912797SE80 3.65%

Sector Allocation

as of Dec 04 2025
as of Dec 04 2025

Fund Sector Breakdown as of Dec 04 2025

Sector Weight
Treasury 99.90%
Cash 0.10%

Index Sector Breakdown as of Dec 04 2025

Sector Weight
Treasury 100.00%

Quality Breakdown

as of Dec 04 2025
as of Dec 04 2025

Fund Quality Breakdown as of Dec 04 2025

Name Weight
AAA 0.10%
AA1 99.90%

Index Quality Breakdown as of Dec 04 2025

Name Weight
AA1 100.00%

Maturity Ladder

as of Dec 04 2025
as of Dec 04 2025

Fund Maturity Ladder as of Dec 04 2025

Name Weight
0 - 1 Year 100.00%

Index Maturity Ladder as of Dec 04 2025

Name Weight
0 - 1 Year 100.00%

Purchase Information

Buying and Selling ETFs

ETFs are flexible and easy to trade. Investors buy and sell them like stocks, typically through a brokerage account. Investors can also employ traditional stock trading techniques; including stop orders, limit orders, margin purchases, and short sales using ETFs. They are listed on major US Stock Exchanges.

ETFs are subject to risk similar to those of stocks including those regarding short-selling and margin account maintenance.

Ordinary brokerage commissions may apply.

In general, ETFs can be expected to move up or down in value with the value of the applicable index. Although ETF shares may be bought and sold on the exchange through any brokerage account, ETF shares are not individually redeemable from the Fund. Investors may acquire ETFs and tender them for redemption through the Fund in Creation Unit Aggregations only. Please see the prospectus for more details.

After-tax returns are calculated based on NAV using the historical highest individual federal marginal income tax rates and do not reflect the impact of state and local taxes. Actual after-tax returns depend on the investor's tax situation and may differ from those shown. The after-tax returns shown are not relevant to investors who hold their fund shares through tax-deferred arrangements such as 401(k) plans or individual retirement accounts.

Performance of an index is not illustrative of any particular investment. It is not possible to invest directly in an index.

Holdings and sectors shown are as of the date indicated and are subject to change. This information should not be considered a recommendation to invest in a particular sector or to buy or sell any security shown. It is not known whether the sectors or securities shown will be profitable in the future.

Unless otherwise noted all information contained herein is that of the State Street® SPDR® Portfolio Ultra Short T-Bill ETF.

As with all stocks, you may be required to deposit more money or securities into your margin account if the equity, including the amount attributable to your ETF shares, declines.

“ICE Data” and “ICE BofA US Treasury Bill Index” (the “Index”) are trademarks of ICE Data Indices, LLC or its affiliates, and have been licensed for use by SSGA. ICE Data has not passed on the legality or suitability of, or the accuracy or adequacy of descriptions and disclosures relating to, the Product, nor makes any representation or warranty, express or implied, to the owners of the licensee’s products or any member of the public regarding the licensee’s products or the advisability of investing in the licensees products, particularly the ability of the Index to track performance of any market or strategy. ICE DATA DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE INDEX OR ANY DATA INCLUDED THEREIN AND ICE DATA SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS, UNAVAILABILITY, OR INTERRUPTIONS THEREIN.