Exchange Traded Funds by Net Assets
| Fund Name | Symbol | Last Sale Price | Share Volume | % G/D Since Inception | Net Assets | Sector |
| SPDR Trust Series I |
| $109.43 |
134,195,979
|
149.06%
|
87.31B
| BroadBased |
| Vanguard Total Stock Market ETF |
| $55.04 |
1,109,050
|
-52.38%
|
76.57B
| BroadBased |
| PowerShares QQQ Trust, Series 1 |
| $43.44 |
70,912,056
|
-14.93%
|
17.49B
| BroadBased |
| Vanguard Emerging Markets ETF |
| $40.55 |
5,742,517
|
-18.57%
|
9.65B
| BroadBased |
| DIAMONDS Trust Series I |
| $103.25 |
8,684,610
|
31.01%
|
8.83B
| BroadBased |
| MidCap SPDR Trust Series I |
| $125.09 |
2,297,053
|
236.37%
|
7.90B
| BroadBased |
| iShares Lehman 1-3 Year Treasury Bond Fund |
| $84.16 |
566,497
|
1.83%
|
6.80B
| BroadBased |
| iShares MSCI Brazil Index Fund |
| $75.09 |
12,805,851
|
297.83%
|
6.75B
| International |
| iShares MSCI Japan Index Fund |
| $9.31 |
34,679,167
|
-38.19%
|
5.52B
| International |
| iShares Dow Jones Select Dividend Index Fund |
| $42.67 |
470,561
|
-24.86%
|
5.04B
| BroadBased |
| iShares S&P 500 Index Fund |
| $109.89 |
3,529,603
|
-21.89%
|
4.99B
| BroadBased |
| Select Sector SPDR Fund - Financial |
| $14.60 |
52,981,088
|
-37.37%
|
3.94B
| Sector |
| United States Oil Fund LP |
| $39.42 |
10,850,127
|
-21.66%
|
3.91B
| Sector |
| iShares Russell 2000 Index Fund |
| $58.59 |
39,795,338
|
15.56%
|
3.83B
| BroadBased |
| iShares MSCI Emerging Index Fund |
| $40.65 |
66,354,756
|
-21.30%
|
3.65B
| International |
| Vanguard FTSE All World Ex US ETF |
| $44.00 |
444,564
|
-20.07%
|
3.61B
| BroadBased |
| Vanguard Growth ETF |
| $51.40 |
346,902
|
2.70%
|
3.58B
| BroadBased |
| Select Sector SPDR Fund - Energy Select Sector |
| $56.60 |
16,900,732
|
143.27%
|
3.56B
| Sector |
| iShares MSCI EAFE Index Fund |
| $55.34 |
15,379,218
|
31.66%
|
3.42B
| International |
| PowerShares DB Commodity Index Tracking Fund |
| $24.26 |
4,630,072
|
-1.62%
|
3.22B
| Sector |
|
As of 11/20/2009 Market Closed
NASDAQ Stocks: Information delayed 15 minutes. Non-NASDAQ Stocks and All Options: Information delayed 20 minutes.