Fund comparison · from official SEC filings

PINK vs SPTM: how much do they overlap?

Simplify Health Care ETF and State Street(R) SPDR(R) Portfolio S&P 1500(R) Composite Stock Market ETF
Holdings overlap
6%
of assets, by weight
Shared positions
34
of 55 / 1,512 holdings
PINK expense ratio
0.51%
net, per year
SPTM expense ratio
0.03%
net, per year
Shared holdings
Company
PINK
SPTM
U
UTHRUNITED THERAPEUTICS CORP
8.78%
0.04%
A
ALGNALIGN TECHNOLOGY INC
7.92%
0.02%
L
LLYELI LILLY & CO
6.64%
1.20%
A
ABBVABBVIE INC
4.57%
0.63%
J
JAZZJAZZ PHARMACEUTICALS PLC
4.23%
0.02%
T
TMOTHERMO FISHER SCIENTIFIC INC
3.70%
0.30%
G
GILDGILEAD SCIENCES INC
3.69%
0.28%
R
REGNREGENERON PHARMACEUTICALS
3.64%
0.12%
J
JNJJOHNSON & JOHNSON
2.83%
0.97%
M
MMM3M CO
2.72%
0.13%
D
DHRDANAHER CORP
2.65%
0.19%
A
AMGNAMGEN INC
2.41%
0.31%
I
ISRGINTUITIVE SURGICAL INC
2.14%
0.27%
C
CVSCVS HEALTH CORP
1.63%
0.15%
V
VRTXVERTEX PHARMACEUTICALS INC
1.53%
0.19%
G
GEHCGE HEALTHCARE TECHNOLOGY
1.21%
0.06%
1
1JKAPELLIS PHARMACEUTICALS INC
0.99%
0.01%
A
ABTABBOTT LABORATORIES
0.69%
0.29%
P
PCRXPACIRA BIOSCIENCES INC
0.61%
0.00%
E
EWEDWARDS LIFESCIENCES CORP
0.49%
0.07%
U
UNHUNITEDHEALTH GROUP INC
0.21%
0.40%
C
COOCOOPER COS INC/THE
0.31%
0.02%
B
BSXBOSTON SCIENTIFIC CORP
0.31%
0.15%
S
SYKSTRYKER CORP
0.24%
0.19%
T
TGTXTG THERAPEUTICS INC
0.23%
0.00%
Only in PINK
C
CHGCFCHUGAI PHARMACEUTICAL CO LTD
5.22%
N
NVONOVO-NORDISK A/S-SPONS ADR
5.20%
P
PCTPURECYCLE TECHNOLOGIES INC
3.97%
B
BHVNBIOHAVEN LTD
3.28%
T
TXG10X GENOMICS INC-CLASS A
3.24%
W
WRBYWARBY PARKER INC-CLASS A
2.65%
B
BNTCBENITEC BIOPHARMA INC
2.59%
A
AZNASTRAZENECA PLC
2.20%
E
EYPTEYEPOINT INC
1.52%
A
ALHCALIGNMENT HEALTHCARE INC
1.45%
E
ESTAESTABLISHMENT LABS HOLDINGS
1.30%
G
GHGUARDANT HEALTH INC
0.83%
I
INSMINSMED INC
0.72%
?
DREYFUS TRSY OBLIG CASH M
0.40%
F
FULCFULCRUM THERAPEUTICS INC
0.38%
I
ICLRICON PLC
0.05%
P
PRAXPRAXIS PRECISION MEDICINES I
0.04%
A
AGLAGILON HEALTH INC
0.02%
A
ABVXABIVAX SA-ADR
0.01%
C
CYPHCYPHERPUNK TECHNOLOGIES INC
0.01%
S
SNDXSYNDAX PHARMACEUTICALS INC
0.01%
Only in SPTM
N
NVDANVIDIA CORP
6.95%
A
AAPLAPPLE INC
6.11%
M
MSFTMICROSOFT CORP
4.50%
A
AMZNAMAZON.COM INC
3.34%
G
GOOGLALPHABET INC-CL A
2.74%
A
AVGOBROADCOM INC
2.41%
G
GOOGALPHABET INC-CL C
2.20%
M
METAMETA PLATFORMS INC-CLASS A
2.05%
T
TSLATESLA INC
1.71%
B
BRK.BBERKSHIRE HATHAWAY INC-CL B
1.44%
J
JPMJPMORGAN CHASE & CO
1.30%
E
EXMOCEXXON MOBIL CORP
1.16%
W
WMTWALMART INC
0.89%
V
VVISA INC-CLASS A SHARES
0.84%
C
COSTCOSTCO WHOLESALE CORP
0.72%
M
MAMASTERCARD INC - A
0.67%
N
NFLXNETFLIX INC
0.66%
C
CVXCHEVRON CORP
0.64%
G
GVMXXSTATE ST INST US GOV MM-PREM
0.62%
M
MUMICRON TECHNOLOGY INC
0.62%
P
PLTRPALANTIR TECHNOLOGIES INC-A
0.55%
P
PGPROCTER & GAMBLE CO/THE
0.55%
A
AMDADVANCED MICRO DEVICES
0.54%
C
CATCATERPILLAR INC
0.54%
H
HDHOME DEPOT INC
0.54%
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Data source: official SEC Form N-PORT filings from each fund. Fund holdings are disclosed quarterly and may reflect a 60-day reporting delay.
Informational and educational only — not investment advice.