SFY

SoFi Select 500 ETF

SoFi · $705.3m in assets, October 8, 2026

SFY, the SoFi Select 500 ETF ($705 million), sits in StoryVector’s Beta Book: it tracks a broad segment of the market, so no single narrative drives it. It carries no market story, so it is not ranked against one. Over the past year it returned +20.2%, against +16.8% for broad US ETFs. Figures to October 2, 2026; past performance, not a recommendation.

SFY · the ETFFRI OCT 2Market price total return
+17.7% a yearTotal return since launch, April 2019
+20.2%Last 12 months
+17.9%Year to date
20.1%Volatility since launch

Checked, and added to the Beta Book

It tracks a broad segment of the market, so no single narrative drives it.

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Last checked
October 6, 2026

We check every ETF against the 22 narratives. This one follows the market, a factor or a manager’s choices rather than a story, so it has no narrative and no Share of Narrative. See the narratives on the board → · See the whole Beta Book →

FRI OCT 2MARKET PRICE TOTAL RETURN

1M3MYTD1Y3Y*5Y*
SFY+2.3%+5.7%+17.9%+20.2%+28.0%+15.4%
The marketbroad US ETFs+0.8%+2.6%+14.6%+16.8%+22.9%+12.9%

1M, 3M, 1Y, 3Y, 5Y: one month to five years. YTD: year to date. * A year, annualised. A dash means the ETF has not traded for the whole period. Since it started trading on April 11, 2019: +17.7% a year.

$10,000 invested April 30, 2019

SFY $33,178The market $28,826
$0$10,000$20,000$30,000$40,000Apr 2019Apr 2021Apr 2023Apr 2025$0$10,000$20,000$30,000$40,000Apr 2019Apr 2023

Year by year

SFYThe market
-40%-20%0%20%40%SFY 2020: +24.5%The market 2020: +21.4%2020SFY 2021: +28.0%The market 2021: +27.1%2021SFY 2022: -22.8%The market 2022: -19.8%2022SFY 2023: +29.3%The market 2023: +27.9%2023SFY 2024: +29.8%The market 2024: +23.1%2024SFY 2025: +22.7%The market 2025: +16.8%2025SFY YTD: +17.9%The market YTD: +14.6%YTD-40%-20%0%20%40%SFY 2020: +24.5%The market 2020: +21.4%2020SFY 2021: +28.0%The market 2021: +27.1%2021SFY 2022: -22.8%The market 2022: -19.8%2022SFY 2023: +29.3%The market 2023: +27.9%2023SFY 2024: +29.8%The market 2024: +23.1%2024SFY 2025: +22.7%The market 2025: +16.8%2025SFY YTD: +17.9%The market YTD: +14.6%YTD

Total return in each calendar year; this year is year to date. A year appears only if SFY traded for all of it.

Total return on the market price, with each distribution reinvested on its ex-date. Not the NAV return the issuer publishes; the two differ when the ETF trades above or below the value of its holdings. The market is the asset-weighted return of broad US index ETFs. Past performance is no guarantee of future results.

Common questions

Why does SFY have no story?

It tracks a broad segment of the market, so no single narrative drives it.

How has SFY performed?

SFY returned +20.2% over the past year, against +16.8% for broad US ETFs, to October 2, 2026. Past performance only.

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Narrative figures are from the weekly board. Performance is market price total return as of October 2, 2026. Assets are StoryVector’s weekly figure. Classification and measurement. Not investment advice. How the measurement works →