374 funds · 79 objectives
Every ETF, sorted by what it actually invests in.
Want a defense fund? Here are all of them, side by side. Financial sector? Same. Pick an objective, see the full shortlist, then compare fees, size, returns and holdings without opening six fact sheets.
Thematic
Defense & Aerospace
Primes, suppliers and defense tech
Semiconductors
Chip designers, foundries and equipment
AI & Robotics
Artificial intelligence and automation
Clean Energy
Solar, wind, grid and storage
Cybersecurity
Network, cloud and endpoint security
Space & Satellites
Launch, satellites and orbital tech
Quantum Computing
Qubits, photonics and enabling hardware
Blockchain & Digital Assets
Miners, exchanges and crypto treasuries
Uranium & Nuclear
Miners, fuel cycle and SMR developers
Water & Agriculture
Utilities, irrigation, fertiliser and food tech
Genomics & Biotech Innovation
Gene editing, sequencing and precision medicine
Obesity & GLP-1
Weight-loss drugs and metabolic health
Cloud & SaaS
Software delivered as a subscription
Fintech & Payments
Card networks, processors and neobanks
Video Games & Esports
Publishers, platforms and competitive gaming
Sports Betting & Gaming
Sportsbooks, casinos and iGaming
Cannabis
US multi-state operators and Canadian producers
Homebuilders & Housing
Builders, suppliers and home improvement
Lithium, Batteries & EVs
Cells, miners and electric vehicle makers
Hydrogen & Fuel Cells
Electrolysers, fuel cells and industrial gas
Rare Earths & Critical Minerals
Strategic metals for defense and electrification
Shipping, Steel & Heavy Industry
Tankers, dry bulk, steel and mining equipment
Travel, Leisure & Pets
Booking, cruises, restaurants and pet care
5G & Connectivity
Network equipment, towers and spectrum
Internet, Social & Metaverse
Platforms, social media and virtual worlds
Sector
Financial Sector
Banks, insurers, exchanges and payments
Energy
Oil majors, E&P, services and midstream
Healthcare
Pharma, devices, providers and biotech
Technology
Software, hardware and IT services
Real Estate & REITs
Equity REITs and property sectors
Utilities & Infrastructure
Regulated power and hard assets
Consumer Staples
Food, beverage, household and retail defensives
Consumer Discretionary
Retail, autos, travel and restaurants
Industrials
Machinery, aerospace, logistics and building
Materials & Mining
Chemicals, metals, miners and packaging
Transportation & Logistics
Rails, airlines, truckers and parcel
Broad Market
Strategy
Low Volatility
Defensive, lower-beta equity
Value
Cheap on earnings, book and cash flow
Growth
High revenue and earnings expansion
Small Cap
Russell 2000 and quality small caps
Momentum & Quality
Trend and profitability factors
Equal Weight
Every holding gets the same slice
Buybacks & Shareholder Yield
Companies returning cash through repurchases
ESG & Sustainable
Screened or best-in-class sustainability
IPOs & Spinoffs
Newly listed and carved-out companies
Asset Allocation & Target Risk
One-ticket stock and bond portfolios
Income
Dividend & Income Equity
Yield, growth of yield, and quality screens
Covered Call Income
Option premium converted to monthly payouts
Single-Stock Option Income
YieldMax-style option income on one stock
Preferred Stock
Bank-heavy hybrid income securities
International Dividend
Non-US income, hedged and unhedged
Fixed Income
Bonds & Treasuries
Duration, credit and cash equivalents
Municipal Bonds
Federally tax-exempt state and local debt
Inflation-Protected Bonds
TIPS: principal adjusts with CPI
Bank Loans & CLOs
Floating-rate credit with near-zero duration
Treasuries by Maturity
Pick your duration, from T-bills to 30-year
Commodity
International
International & Emerging
Developed ex-US, EM and single country
Emerging Markets
Broad EM, with and without China
India
The largest single-country EM allocation
Japan
Corporate reform and currency choices
China
Onshore A-shares vs. offshore internet
Europe
Developed Europe, hedged and unhedged
Latin America
Brazil, Mexico, Argentina, Chile and regional funds
Asia-Pacific Countries
Korea, Taiwan, Vietnam, Indonesia, Australia and more
Middle East & Africa
Saudi, UAE, Israel, Turkey and South Africa
Single-Country Europe
UK, Germany, France, Switzerland, Spain, Poland and more
Canada & Developed Single Markets
Canada and other developed single-country funds
Frontier & Frontier-Adjacent
Vietnam, Nigeria, Kazakhstan and beyond
Alternatives
Spot Crypto
Funds holding bitcoin, ether and solana directly
Managed Futures
Trend-following across stocks, bonds, FX and commodities
Buffered & Defined Outcome
Downside buffer in exchange for a capped upside
Volatility & Tail Hedges
VIX futures and crash protection
Leveraged
Fund data is for research and comparison only and is not investment advice. Figures refresh from live market data where available; always confirm against the issuer's prospectus before investing.