Is SPEU a good investment?
State Street SPDR Portfolio Europe ETF (SPEU) is a Europe-focused ETF. As of September 11, 2026, ETF Copilot scores SPEU 5.6 out of 10 — highest on Growth (7.3), lowest on Risk (3.9). It trades at 17.2 times earnings, against its own median of 16.3. Its ten largest holdings are 19% of the fund.
Updated September 11, 2026
How is SPEU rated? ETF Copilot scores State Street SPDR Portfolio Europe ETF (SPEU) 5.6 out of 10
As of September 11, 2026, ETF Copilot scores State Street SPDR Portfolio Europe ETF (SPEU) 5.6 out of 10 overall.
ETF Copilot scores (0–10 scale, higher is better):
- Overall: 5.6 / 10
- Growth: 7.3 / 10
- Valuation: 7.0 / 10
- Risk: 3.9 / 10
- Quality: 5.2 / 10
- Return: 4.3 / 10
What is SPEU's expense ratio? 0.07% a year
As of September 11, 2026, SPEU charges 0.07% a year, yields 3.00% and holds $738M in assets across 1579 positions.
| Measure | SPEU |
|---|---|
| Expense ratio | 0.07% |
| Dividend yield | 3.00% |
| Assets under management | $738M |
| Holdings | 1579 |
Expense ratio, dividend yield and assets under management are reported by the fund and refreshed daily. Every other figure on this page is computed by ETF Copilot.
What stands out in SPEU's data
European stocks across the region, weighted by market size.
Charges very little each year — more of the market's return stays in your account.
An expense ratio of 0.07% is among the cheapest in its category, well under the 0.50% median, and its 1,579 holdings give broad European coverage.
A broad European allocation with minimal annual drag on returns.
Why did SPEU move this week? It fell 2.0% in the week to September 11, 2026 — Novartis and Novo Nordisk A/S-B drove it
SPEU fell 2.0% in the week to September 11, 2026. The holdings that moved it most were Novartis (−15.2%), Novo Nordisk A/S-B (−9.3%) and SAP (−4.6%); ASML (+3.8%) pushed the other way.
Is SPEU expensive right now? It trades at 17.2 times earnings, against its own median of 16.3
As of September 11, 2026, SPEU is more expensive than 66% of its own 85 monthly readings since 2019 — 56 of those months were cheaper than today.
Trailing twelve-month, computed by ETF Copilot from the fund's holdings rather than quoted from a data provider, and rebuilt nightly.
What's inside SPEU? 10% Tech
What's inside SPEU: Size (Large 64%, Mid 24%, Small 12%); Geography (International 90%, US 10%); Tech 10.3%; AI 1.3%; Semiconductors 5.6%; Memory 0.9%.
What are SPEU's top holdings? The ten largest are 19% of the fund
ASML, HSBC, Roche, Novartis, Nestle, AstraZeneca, Siemens, SAP SE, Totalenergies SE and Autoliv are SPEU's largest holdings, in that order.
Less concentrated than 88% of Europe ETFs.
Half of SPEU's weight sits in its 54 largest positions, and once those weights are taken into account it behaves like 136 equally weighted holdings.
Cite this
ETF Copilot, “State Street SPDR Portfolio Europe ETF (SPEU) scores and holdings analysis”, as of September 11, 2026.
https://etf-copilot.com/etf/speu
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