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S&P 500 Cons Staples Sector SPDR (XLP)

S&P 500 Cons Staples Sector SPDR (XLP)
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Realtime quote and/or trades are not sourced from all markets.

Fund Basics

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  • Price/Earnings ttm 20.15
  • Annual Dividend & Yield 2.75 (3.23%)
  • Most Recent Dividend 0.574 on 06/22/26
  • Net Expense Ratio 0.08%
  • INDUSTRY GROUPING:

    ETFs - Consumer Staples

Options Overview Details

View History
  • Implied Volatility 14.32% (-2.19%)
  • Historical Volatility 17.50%
  • IV Percentile 37%
  • IV Rank 9.38%
  • IV High 48.15% on 01/28/26
  • IV Low 10.82% on 12/24/25
  • Expected Move (DTE 7) 1.27 (1.49%)
  • Put/Call Vol Ratio 1.00
  • Today's Volume 18,787
  • Volume Avg (30-Day) 28,549
  • Put/Call OI Ratio 2.84
  • Today's Open Interest 373,992
  • Open Int (30-Day) 617,907
  • Expected Range 83.72 to 86.26

Price Performance

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Period Period Low Period High Performance
1-Month
81.65 +4.09%
on 06/03/26
86.35 -1.57%
on 06/16/26
+3.16 (+3.86%)
since 06/02/26
3-Month
80.46 +5.64%
on 04/15/26
86.69 -1.97%
on 05/19/26
+3.10 (+3.79%)
since 04/02/26
52-Week
75.16 +13.08%
on 11/06/25
90.14 -5.71%
on 02/17/26
+2.77 (+3.37%)
since 07/02/25

Most Recent Stories

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What You Need To Know Ahead of Keurig Dr Pepper’s Earnings Release

Keurig Dr Pepper is set to report its second-quarter results later this month, with analysts expecting double-digit EPS growth.

KDP : 33.30 (-0.21%)
$SPX : 7,483.24 (unch)
XLP : 84.99 (+2.03%)
5 Places Investors Can Hide If the AI Trade Keeps Cracking

As AI stocks face volatility, capital is rotating into biotech, industrials, utilities, consumer staples, and dividend ETFs showing relative strength.

XLU : 45.76 (+2.21%)
XLI : 183.91 (+0.30%)
KO : 84.14 (+3.51%)
IBB : 195.70 (+2.93%)
LLY : 1,213.91 (+1.86%)
SCHD : 32.39 (+1.70%)
XLP : 84.99 (+2.03%)
GE : 377.52 (+0.69%)
NEE : 88.34 (+2.28%)
What to Expect From Philip Morris' Q2 2026 Earnings Report

Philip Morris is expected to announce its second-quarter earnings in July, and Wall Street expects the company’s EPS to increase by a single-digit percentage.

$SPX : 7,483.24 (unch)
PM : 182.27 (+2.58%)
XLP : 84.99 (+2.03%)
Conagra Brands' Quarterly Earnings Preview: What You Need to Know

Conagra Brands will release its fourth-quarter earnings next month, and analysts anticipate a double-digit profit dip.

$SPX : 7,483.24 (unch)
CAG : 14.34 (+0.28%)
XLP : 84.99 (+2.03%)
PepsiCo's Q2 2026 Earnings: What to Expect

PepsiCo is set to announce its second-quarter earnings next month, and Wall Street expects the company’s EPS to increase by a single digit.

$SPX : 7,483.24 (unch)
PEP : 144.22 (+2.17%)
XLP : 84.99 (+2.03%)
McCormick’s Q2 2026 Earnings: What to Expect

McCormick is all ready to report its Q2 2026 earnings tomorrow, and analysts currently expect earnings growth to remain muted.

MKC : 53.45 (+1.02%)
$SPX : 7,483.24 (unch)
XLP : 84.99 (+2.03%)
Constellation Brands Earnings Preview: What to Expect

Constellation Brands all geared to report its first-quarter earnings next month, and analysts expect a single-digit rise in profits.

$SPX : 7,483.24 (unch)
STZ : 137.47 (+0.43%)
XLP : 84.99 (+2.03%)
General Mills's Q4 2026 Earnings: What to Expect

General Mills is expected to announce its fourth-quarter earnings next month, and Wall Street expects the company’s EPS to increase by double digits.

GIS : 37.57 (-0.53%)
$SPX : 7,483.24 (unch)
XLP : 84.99 (+2.03%)
How Is J. M. Smucker's Stock Performance Compared to Other Consumer Defensive Stocks?

Though J. M. Smucker has outperformed relative to its peers over the past year, Wall Street analysts maintain a cautiously optimistic outlook on the stock’s prospects.

GIS : 37.57 (-0.53%)
SJM : 116.28 (+1.24%)
XLP : 84.99 (+2.03%)
How Is Bunge Global's Stock Performance Compared to Other Consumer Defensive Stocks

Bunge Global has outperformed other consumer defensive stocks over the past year, yet analysts remain highly optimistic about the stock's growth potential.

BG : 106.46 (+1.50%)
XLP : 84.99 (+2.03%)
TSN : 58.89 (+0.79%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 64% Buy with a Strengthening short term outlook on maintaining the current direction.

Long term indicators fully support a continuation of the trend.

Relative Strength just crossed above 50%. The market is indicating support for a bullish trend.

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Fund Summary

The Consumer Staples Select Sector SPDR Fund seeks to provide investment results that, before expenses, correspond generally to the price and yield performance of the Consumer Staples Select Sector Index.

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Key Turning Points

3rd Resistance Point 86.89
2nd Resistance Point 86.01
1st Resistance Point 85.50
Last Price 84.99
1st Support Level 84.11
2nd Support Level 83.24
3rd Support Level 82.73

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52-Week High 90.14
Last Price 84.99
Fibonacci 61.8% 84.42
Fibonacci 50% 82.65
Fibonacci 38.2% 80.88
52-Week Low 75.16

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