ETF Categories
Every fund is classified from its name, issuer description and actual reported weightings — one fund can appear in several categories. Counts and assets are live from the database.
Commodity
Digital Assets
Fixed Income
Bonds (all)
1122 funds · $2.74T
All fixed-income ETFs.
International Bonds
601 funds · $743.82B
Non-U.S. fixed income, including emerging-market debt.
Government Bonds
338 funds · $979.93B
Government-bond funds.
Treasury Bonds
297 funds · $938.91B
U.S. Treasury funds.
Corporate Bonds
227 funds · $506.09B
Investment-grade corporate-bond funds.
High Yield Bonds
181 funds · $212.89B
Below-investment-grade bond funds.
Municipal Bonds
161 funds · $227.07B
U.S. municipal-bond funds.
TIPS / Inflation-Protected
35 funds · $527.06B
Inflation-protected bond funds.
Income
Region
International
2616 funds · $4.67T
Funds investing mainly outside the United States.
Global
1375 funds · $3.22T
Funds investing worldwide, typically including the United States.
Developed Markets
1187 funds · $4.02T
Funds focused on developed markets.
Emerging Markets
407 funds · $783.79B
Funds focused on emerging-market countries.
International Small Cap
60 funds · $75.77B
Non-U.S. small-cap funds.
Frontier Markets
12 funds · $2.10B
Funds focused on frontier markets.
Sector & Theme
Financials
793 funds · $3.07T
Bank, insurance and financial-services funds.
Technology
527 funds · $1.87T
Technology-sector funds.
Energy
222 funds · $318.03B
Traditional energy-sector funds.
Real Estate / REITs
181 funds · $178.14B
Real-estate and REIT funds.
Healthcare
137 funds · $143.16B
Healthcare and biotech funds.
Materials
103 funds · $149.04B
Basic-materials funds.
Industrials
99 funds · $231.66B
Industrial-sector funds.
Clean Energy
88 funds · $29.40B
Renewable and clean-energy funds.
Infrastructure
82 funds · $79.68B
Infrastructure-asset funds.
Consumer Discretionary
78 funds · $58.79B
Consumer-discretionary funds.
Artificial Intelligence
75 funds · $36.69B
AI and robotics themed funds.
Utilities
72 funds · $164.10B
Utility-sector funds.
Communication Services
65 funds · $51.33B
Media and communication funds.
Semiconductors
54 funds · $181.66B
Chip-industry funds.
Biotechnology
34 funds · $29.74B
Biotechnology-focused funds.
Consumer Staples
29 funds · $76.10B
Consumer-staples funds.
Aerospace & Defense
28 funds · $43.32B
Defense and aerospace funds.
Strategy
Buffer / Defined Outcome
248 funds · $108.58B
Funds targeting a defined downside buffer over an outcome period.
ESG / Sustainable
198 funds · $124.13B
Funds applying ESG or sustainability screens.
Currency Hedged
82 funds · $49.58B
International funds hedging currency exposure.
Momentum
61 funds · $82.03B
Momentum-factor funds.
Equal Weight
52 funds · $132.17B
Equal-weighted index funds.
Low Volatility
42 funds · $62.84B
Funds screening for lower-volatility holdings.
Structure
Style & Size
Growth
256 funds · $1.20T
Companies screened for above-average growth characteristics.
U.S. Large Cap
250 funds · $4.55T
Funds focused on the biggest U.S. companies.
Value
189 funds · $1.01T
Companies screened for value characteristics.
U.S. Small Cap
143 funds · $732.61B
Smaller U.S. companies.
U.S. Mid Cap
111 funds · $705.32B
Mid-sized U.S. companies.
Total Market
4 funds · $2.30T
Broad funds holding the whole investable market.