MYMI
SPDR SSGA My2029 Municipal Bond ETF
SSGA Active Trust
ETF

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
105
Top-10 weight
24.46%
Effective holdings ?
65
Crowding ?
5.5

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 WISCONSIN ST 425,000 $462.48K 3.37%
2 ALABAMA ST PUBLIC SCH & CLG AUTH 300,000 $329.88K 2.41%
3 IOWA ST BRD REGENTS HOSP REVENUE 300,000 $326.82K 2.38%
4 OREGON ST DEPT OF ADMIN SVCS LOTTERY REVENUE 300,000 $326.28K 2.38%
5 State of Delaware, Series 2019 300,000 $323.83K 2.36%
6 New York (City of), NY Municipal Water Finance Authority, Series 2020 AA, Ref. RB 300,000 $323.67K 2.36%
7 AUBREY TX INDEP SCH DIST 300,000 $323.00K 2.36%
8 Clark County School District, Series 2020B 290,000 $315.85K 2.30%
9 State of Ohio, State Infrastructure Improvement, Series 2016-1 300,000 $302.44K 2.21%
10 WELD CNTY CO SCH DIST #6 255,000 $279.03K 2.04%
11 WV ST GARVEE 5% 9/1/2029 240,000 $249.63K 1.82%
12 Hamilton (County of), OH, Series 2016 A, Ref. RB 240,000 $245.18K 1.79%
13 Utah (State of), Series 2020, GO Bonds 225,000 $243.22K 1.77%
14 VERMONT ST EDUCTNL & HLTH BLDGS FING AGY REVENUE 225,000 $242.59K 1.77%
15 KENTUCKY ST ECON DEV FIN AUTH 225,000 $239.34K 1.75%
16 State of Illinois 230,000 $233.84K 1.71%
17 KENNEWICK WA WTR & SWR REVENUE 225,000 $233.58K 1.70%
18 NEW YORK ST DORM AUTH ST PERSONAL INCOME TAX REVENUE 215,000 $231.74K 1.69%
19 CNP UTILITY DIST TX 225,000 $231.72K 1.69%
20 CENTRL FL EXPRESSWAY AUTH SR LIEN REVENUE 225,000 $231.08K 1.69%
21 CHARLOTTE NC ARPT REVENUE REGD B/E 5.00000000 225,000 $230.09K 1.68%
22 WALLER CNTY TX ROAD IMPT DIST #1 225,000 $229.42K 1.67%
23 Chicago O'Hare International Airport, Series 2018B 225,000 $228.61K 1.67%
24 PHOENIX CIVIC IMPT 220,000 $224.91K 1.64%
25 PHILA PA 5% 2/1/2036 210,000 $224.81K 1.64%
26 UTILITY DEBT-TE-1-REF 200,000 $218.64K 1.60%
27 NEW JERSEY ST ECON DEV AUTH REV 200,000 $217.41K 1.59%
28 KENTUCKY ST PROPERTY & BLDGS C REGD N/C B/E 5.00000000 200,000 $214.50K 1.57%
29 PENNSYLVANIA TURNPIKE COMMISSI PASTRN 12/44 FIXED 5 PASTRN 200,000 $209.30K 1.53%
30 VOLUSIA CNTY FL EDUCTNL FAC AUTH 200,000 $204.46K 1.49%
31 King County School District No. 405 Bellevue, Series 2016, Ref. GO Bonds 200,000 $204.38K 1.49%
32 TX WTR DEV BRD-B 200,000 $204.11K 1.49%
33 TRINITY RIVER TX AUTH REGL WSTWTR SYS REVENUE 195,000 $202.82K 1.48%
34 MA ST 5% 7/1/2036 180,000 $192.70K 1.41%
35 Maricopa (County of), AZ Industrial Development Authority (Banner Health Obligated Group), Series 2019 A, RB 185,000 $180.57K 1.32%
36 DELAWARE ST MUNI ELEC CORP REVENUE 160,000 $172.66K 1.26%
37 KING CNTY WA 160,000 $172.43K 1.26%
38 LAS VEGAS VLY NV WTR DIST 150,000 $163.62K 1.19%
39 RI COMMERCE CORP-B 150,000 $151.09K 1.10%
40 State of North Carolina, Series 2019 135,000 $145.46K 1.06%
41 ILLINOIS ST FIN AUTH REVENUE REGD B/E 5.00000000 140,000 $143.57K 1.05%
42 PENNSYLVANIA ST TURNPIKE COMMISSION TURNPIKE REVENUE 135,000 $141.49K 1.03%
43 City of Atlanta Water & Wastewater, Series 2024 125,000 $137.77K 1.01%
44 PIERCE CNTY WA SCH DIST #403 BETHEL 120,000 $129.68K 0.95%
45 INDIANA ST FIN AUTH REVENUE 120,000 $129.15K 0.94%
46 VIRGINIA ST CMWLTH TRANSPRTN BRD FEDERAL TRANSPRTRN GRANT 125,000 $126.84K 0.93%
47 NJ TRANSPRTN TRUST-A 115,000 $123.63K 0.90%
48 Euclid Public Library 110,000 $112.39K 0.82%
49 RICHLAND CNTY SC SCH DIST #2 100,000 $108.44K 0.79%
50 PUEBLO CNTY CO SCH DIST #60 PUEBLO 95,000 $104.40K 0.76%
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