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GHYB | Goldman Sachs Access High Yield Corporate Bond ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
FGTXX GS TRUST - GS FINANCIAL S 1.86%
TIBX CLOUD SOFTWARE GROUP, INC 0.66%
POST Post Holdings, Inc. 6.73B 0.65%
115.15 0.44% 25.59% 29.15%
MEDIND MEDLINE BORROWER, LP 0.63%
CCL Carnival Corporation & plc 22.98B 0.59%
18.36 1.83% 64.53% 70.91%
DVA DaVita Inc. 13.69B 0.51%
163.16 -0.65% 30.82% 14.87%
VENLNG VENTURE GLOBAL LNG, INC. 0.50%
SPLS STAPLES, INC. 0.50%
CHTR Charter Communications, Inc. 48.48B 0.50%
339.64 0.09% 41.02% 35.38%
INTEL INTELSAT JACKSON HOLDINGS 0.48%
NSUS NUSTAR LOGISTICS, L.P. 0.46%
TDG TransDigm Group Incorporated 77.08B 0.45%
1,373.70 -0.13% 26.73% 44.86%
BWY MAUSER PACKAGING SOLUTION 0.44%
BBDBCN BOMBARDIER INC. 0.41%
OTEXCN OPEN TEXT CORPORATION 0.41%
RRD R. R. DONNELLEY & SONS CO 0.40%
UAL United Airlines Holdings, Inc. 17.42B 0.40%
52.96 0.61% 70.23% 68.22%
GEL Genesis Energy, L.P. 1.63B 0.39%
13.35 0.15% 51.03% 14.81%
RIG Transocean Ltd. 4.00B 0.39%
4.57 -2.14% 63.75% 69.04%
NRG NRG Energy, Inc. 16.91B 0.39%
81.95 0.77% 39.45% 45.74%
HBGCN HUB INTERNATIONAL LIMITED 0.38%
CALCOL WAND NEWCO 3, INC. 0.38%
CVNA Carvana Co. 33.45B 0.37%
161.63 3.23% 66.19% 8.29%
FTAI FTAI Aviation Ltd 12.92B 0.37%
126.43 -0.27% 50.04% 63.80%
SMYREA SMYRNA READY MIX CONCRETE 0.37%
SIRI Sirius XM Holdings Inc. 7.89B 0.36%
23.27 0.00% 52.18% 15.94%
HTZ Hertz Global Holdings, Inc. 1.13B 0.36%
3.70 1.09% 107.35% 63.70%
AVTR Avantor, Inc. 18.40B 0.36%
27.06 0.71% 39.62% 34.04%
PR Permian Resources Corporation 11.12B 0.35%
13.86 -0.14% 36.60% 48.28%
BBWI Bath & Body Works, Inc. 6.51B 0.35%
29.71 1.89% 49.17% 56.56%
OGN Organon & Co. 5.14B 0.35%
19.97 -2.82% 42.49% 38.06%
DTV DIRECTV FINANCING, LLC 0.35%
PBH Prestige Consumer Healthcare Inc. 3.64B 0.34%
73.53 -0.03% 56.87% 74.23%
FYBR Frontier Communications Parent, Inc. 8.80B 0.34%
35.35 -0.84% 21.52% 8.01%
KNTK Kinetik Holdings Inc. 2.74B 0.34%
45.85 -0.11% 63.35% 34.66%
CCO Clear Channel Outdoor Holdings, Inc. 836.10M 0.34%
1.7100 0.00% 165.16% 7.47%
UVN UNIVISION COMMUNICATIONS 0.34%
NCLH Norwegian Cruise Line Holdings Ltd. 8.72B 0.33%
19.84 0.40% 59.81% 54.22%
OMF OneMain Holdings, Inc. 5.78B 0.33%
48.26 -0.56% 36.03% 43.80%
BLKCQP BIP-V CHINOOK HOLDCO L.L. 0.33%
PFGC Performance Food Group Company 11.76B 0.33%
75.48 -0.51% 23.75% 21.84%
VENTGL VENTURE GLOBAL CALCASIEU 0.33%
SEE Sealed Air Corporation 5.07B 0.33%
34.80 0.61% 28.32% 18.26%
SQ Block, Inc. 41.09B 0.32%
66.74 -0.88% 45.41% 17.84%
PCG PG&E Corporation 41.70B 0.32%
19.51 -1.76% 42.15% 42.52%
WYNFIN WYNN RESORTS, LIMITED 0.32%
THC Tenet Healthcare Corporation 15.43B 0.32%
161.07 2.62% 37.66% 24.70%
GEN Gen Digital Inc. 16.36B 0.31%
26.58 0.45% 25.35% 24.17%
SCI Service Corporation International 11.50B 0.31%
79.54 -1.27% 23.40% 31.32%
ALIANT ALLIANT HOLDINGS INTERMED 0.31%
HUSKYI HUSKY INJECTION MOLDING S 0.31%
IEP Icahn Enterprises L.P. 6.39B 0.31%
13.45 0.75% 89.24% 94.49%
MPW Medical Properties Trust, Inc. 3.57B 0.31%
5.94 -4.81% 86.91% 23.45%
UNIT Uniti Group Inc. 1.28B 0.31%
5.23 -0.19% 54.42% 30.12%
CSCHLD CSC HOLDINGS, LLC 0.30%
VERITS VERITAS (US) INC 0.30%
GDDY GoDaddy Inc. 21.75B 0.30%
154.28 0.25% 28.36% 34.08%
STX Seagate Technology Holdings plc 21.24B 0.30%
100.93 -1.12% 41.20% 42.44%
BRANDI BRAND INDUSTRIAL SERVICES 0.30%
OUT Outfront Media Inc. 2.93B 0.29%
17.65 -0.45% 26.14% 10.36%
ENDP ENDO FINANCE HOLDINGS, IN 0.29%
MOH Molina Healthcare, Inc. 20.81B 0.29%
355.15 0.59% 34.22% 51.03%
FAIRIC FAIR ISAAC CORPORATION 0.29%
BTECN BAYTEX ENERGY CORP. 0.29%
LVLT LEVEL 3 FINANCING, INC. 0.29%
MHED MCGRAW-HILL EDUCATION, IN 0.29%
DTMINC DT MIDSTREAM, INC. 0.29%
HNDLIN NOVELIS CORPORATION 0.29%
PK Park Hotels & Resorts Inc. 3.06B 0.28%
14.65 1.88% 49.55% 71.23%
TIHLLC PANTHER ESCROW ISSUER, LL 0.28%
CRL Charles River Laboratories International... 10.64B 0.28%
206.10 -0.05% 38.91% 59.40%
LYV Live Nation Entertainment, Inc. 23.68B 0.28%
102.80 -0.12% 27.59% 18.51%
ACRISU ACRISURE, LLC 0.28%
SSNC SS&C Technologies Holdings, Inc. 18.49B 0.28%
75.36 -0.23% 23.15% 51.44%
HLF Herbalife Nutrition Ltd. 706.03M 0.28%
7.01 -1.27% 84.41% 49.15%
EMECLI EMRLD BORROWER LP 0.28%
RCL Royal Caribbean Cruises Ltd. 43.39B 0.28%
168.55 0.09% 59.31% 49.61%
ULTI UKG INC. 0.28%
BLDR Builders FirstSource, Inc. 22.65B 0.27%
194.52 0.32% 44.17% 28.26%
HEES H&E Equipment Services, Inc. 1.71B 0.27%
46.83 1.43% 53.17% 41.86%
PFSI PennyMac Financial Services, Inc. 5.95B 0.27%
116.17 -0.33% 34.96% 51.42%
HBMCN HUDBAY MINERALS INC. 0.27%
CHK Chesapeake Energy Corporation 9.78B 0.27%
74.51 1.60% 28.48% 53.22%
VST Vistra Corp. 31.33B 0.27%
91.19 0.04% 56.54% 63.03%
CZR Caesars Entertainment, Inc. 8.71B 0.27%
40.27 0.05% 48.81% 37.31%
CTLT Catalent, Inc. 10.95B 0.26%
60.32 -0.05% 44.60% 17.18%
OMI Owens & Minor, Inc. 1.22B 0.26%
15.81 -0.38% 42.46% 26.45%
NXST Nexstar Media Group, Inc. 5.42B 0.26%
167.92 -0.65% 32.94% 27.89%
GTN Gray Television, Inc. 465.93M 0.26%
5.13 0.59% 108.81% 32.17%
ARMK Aramark 10.03B 0.26%
38.08 -1.35% 28.70% 32.77%
EHC Encompass Health Corporation 9.30B 0.26%
92.45 1.24% 30.91% 30.83%
TROX Tronox Holdings plc 1.92B 0.26%
12.18 -1.77% 53.04% 37.36%
SABHLD SABRE GLBL INC. 0.25%
ZAYO ZAYO GROUP HOLDINGS INC. 0.25%
CYH Community Health Systems, Inc. 794.76M 0.25%
5.72 1.42% 83.73% 10.85%
IRM Iron Mountain Incorporated 34.16B 0.25%
116.45 0.46% 30.21% 64.37%
CNX CNX Resources Corporation 4.45B 0.25%
29.41 3.16% 29.38% 38.82%
HHH ETFMG Real Estate Tech ETF 3.81B 0.25%
75.93 0.98% 59.03% 61.84%
FGP FERRELLGAS, L.P. 0.24%
SHEARE FIESTA PURCHASER, INC. 0.24%
Total holdings: 256 Recognized Stocks: 141 Recognized ETFs: 1 Others: 114
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