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QWLD
SPDR MSCI World StrategicFactors ETF
stock NYSE ETF

At Close
Jun 27, 2025 2:24:32 PM EDT
134.20USD+0.056%(+0.08)2,904
133.31Bid   136.28Ask   2.97Spread
Pre-market
0.00USD-100.000%(-134.12)0
After-hours
0.00USD0.000%(0.00)0
OverviewOption ChainMax PainOptionsPrice & VolumeDividendsHistoricalExchange VolumeDark Pool LevelsDark Pool PrintsExchangesShort VolumeShort Interest - DailyShort InterestBorrow Fee (CTB)Failure to Deliver (FTD)ShortsTrends
QWLD Reddit Mentions
Subreddits
Limit Labels     

We have sentiment values and mention counts going back to 2017. The complete data set is available via the API.
Take me to the API
QWLD Specific Mentions
As of Jun 30, 2025 9:04:23 PM EDT (21 minutes ago)
Includes all comments and posts. Mentions per user per ticker capped at one per hour.
11 days ago • u/moderndaymesh1 • r/ETFs • rate_my_portfolio_weekly_thread_june_16_2025 • C
Am I crazy for considering this 100% equity portfolio for a 15-20 year time horizon?
50% SPHQ - core US large cap blend with quality tilt.
20% DFIV - international large cap concentrated in value
15% QWLD - large and mid cap global with quality, value, and low volatility factors - captures many of the large caps left out of SPHQ and DFIV.
10% DFAT - small cap fund concentrated in value
5% PXH - emerging markets fund that skews towards fundamentals (also value)
I know it's quite value heavy, but seems like it would facilitate solid returns without being too volatile (for, y'know, an all equity fund). The kind of thing I'm willing to pay ~26bps for in expense ratio.
(Also, I'm sure I could probably go with AVUV or AVIV in place of the two Dimensional funds. I stuck with Dimensional mostly because of the 20+ year track record / sample size, which I tried to keep in mind for most of these picks - noting past performance, future results, etc)
sentiment 0.81
11 days ago • u/moderndaymesh1 • r/ETFs • rate_my_portfolio_weekly_thread_june_16_2025 • C
Am I crazy for considering this 100% equity portfolio for a 15-20 year time horizon?
50% SPHQ - core US large cap blend with quality tilt.
20% DFIV - international large cap concentrated in value
15% QWLD - large and mid cap global with quality, value, and low volatility factors - captures many of the large caps left out of SPHQ and DFIV.
10% DFAT - small cap fund concentrated in value
5% PXH - emerging markets fund that skews towards fundamentals (also value)
I know it's quite value heavy, but seems like it would facilitate solid returns without being too volatile (for, y'know, an all equity fund). The kind of thing I'm willing to pay ~26bps for in expense ratio.
(Also, I'm sure I could probably go with AVUV or AVIV in place of the two Dimensional funds. I stuck with Dimensional mostly because of the 20+ year track record / sample size, which I tried to keep in mind for most of these picks - noting past performance, future results, etc)
sentiment 0.81


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