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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 1.01%
CCL Carnival Corporation & plc 33.62B 0.62%
26.80 6.43% 54.20% 59.74%
TIBX CLOUD SOFTWARE GROUP, INC 0.59%
MEDIND MEDLINE BORROWER, LP 0.57%
POST Post Holdings, Inc. 6.68B 0.56%
114.85 0.42% 23.94% 53.88%
CHTR Charter Communications, Inc. 49.98B 0.51%
351.50 -0.36% 34.02% 15.73%
DVA DaVita Inc. 12.45B 0.51%
151.85 2.92% 31.83% 18.43%
VENLNG VENTURE GLOBAL LNG, INC. 0.49%
SPLS STAPLES, INC. 0.49%
ALIANT ALLIANT HOLDINGS INTERMED 0.44%
NCX NOVA CHEMICALS CORPORATIO 0.43%
BBDBCN BOMBARDIER INC. 0.42%
INTEL INTELSAT JACKSON HOLDINGS 0.42%
CVNA Carvana Co. 46.60B 0.42%
224.46 0.66% 49.04% 5.69%
UAL United Airlines Holdings, Inc. 32.03B 0.41%
97.40 1.93% 53.68% 88.69%
BWY MAUSER PACKAGING SOLUTION 0.41%
TDG TransDigm Group Incorporated 71.76B 0.41%
1,276.15 1.27% 28.38% 44.81%
GTLS Chart Industries, Inc. 7.91B 0.40%
184.83 2.23% 41.07% 21.69%
HBGCN HUB INTERNATIONAL LIMITED 0.38%
GEL Genesis Energy, L.P. 1.22B 0.38%
10.00 0.81% 50.67% 84.43%
AVTR Avantor, Inc. 14.44B 0.38%
21.21 0.90% 33.02% 43.10%
OMF OneMain Holdings, Inc. 6.20B 0.37%
51.91 1.43% 29.82% 43.05%
OTEXCN OPEN TEXT CORPORATION 0.37%
CSCHLD CSC HOLDINGS, LLC 0.36%
RRD R. R. DONNELLEY & SONS CO 0.36%
UVN UNIVISION COMMUNICATIONS 0.36%
NRG NRG Energy, Inc. 18.32B 0.36%
90.45 1.34% 39.13% 53.56%
PR Permian Resources Corporation 10.92B 0.36%
13.60 0.59% 36.34% 46.90%
OGN Organon & Co. 3.75B 0.35%
14.58 0.97% 48.12% 52.73%
FYBR Frontier Communications Parent, Inc. 8.63B 0.35%
34.65 -0.29% 15.59% 13.34%
SPR Spirit AeroSystems Holdings, Inc. 3.89B 0.35%
33.26 0.27% 32.42% 73.78%
PFGC Performance Food Group Company 13.15B 0.35%
84.39 -0.08% 27.45% 30.97%
PCG PG&E Corporation 43.33B 0.34%
19.82 2.06% 25.16% 39.92%
SEE Sealed Air Corporation 4.89B 0.34%
33.59 -1.12% 28.61% 17.12%
CCO Clear Channel Outdoor Holdings, Inc. 674.93M 0.34%
1.3800 -1.43% 791.24% 57.27%
FTAI FTAI Aviation Ltd 13.69B 0.34%
133.49 1.79% 53.50% 70.89%
BLKCQP BIP-V CHINOOK HOLDCO L.L. 0.34%
CALCOL WAND NEWCO 3, INC. 0.34%
HRI Herc Holdings Inc. 5.32B 0.33%
187.33 1.98% 41.70% 28.68%
KNTK Kinetik Holdings Inc. 3.45B 0.33%
57.76 5.85% 47.70% 44.38%
THC Tenet Healthcare Corporation 12.31B 0.32%
129.46 2.99% 37.98% 32.64%
SCI Service Corporation International 11.80B 0.32%
81.61 -1.10% 21.10% 19.93%
POWSOL CLARIOS GLOBAL LP 0.32%
HLT Hilton Worldwide Holdings Inc. 60.80B 0.32%
249.42 1.49% 25.12% 19.84%
GDDY GoDaddy Inc. 28.84B 0.31%
205.41 1.22% 25.74% 20.29%
BBWI Bath & Body Works, Inc. 8.51B 0.31%
39.27 1.79% 44.41% 36.51%
MHED MCGRAW-HILL EDUCATION, IN 0.31%
STX Seagate Technology Holdings plc 18.47B 0.31%
87.31 -0.26% 34.50% 34.48%
GEN Gen Digital Inc. 17.15B 0.31%
27.83 1.38% 25.04% 21.66%
BMCAUS STANDARD BUILDING SOLUTIO 0.31%
OUT Outfront Media Inc. 3.02B 0.31%
18.18 3.35% 48.41% 4.53%
SMYREA SMYRNA READY MIX CONCRETE 0.31%
WYNFIN WYNN RESORTS, LIMITED 0.30%
VENTGL VENTURE GLOBAL CALCASIEU 0.30%
AVNT Avient Corporation 3.79B 0.30%
41.50 -0.46% 46.49% 31.79%
YUM Yum! Brands, Inc. 36.94B 0.30%
132.36 1.53% 20.55% 22.54%
AA Alcoa Corporation 9.78B 0.30%
37.84 3.33% 56.47% 62.76%
HNDLIN NOVELIS CORPORATION 0.30%
RCL Royal Caribbean Cruises Ltd. 64.11B 0.30%
238.43 3.32% 35.28% 35.42%
BRANDI BRAND INDUSTRIAL SERVICES 0.30%
ULTI UKG INC. 0.30%
PBH Prestige Consumer Healthcare Inc. 3.89B 0.29%
78.72 0.08% 13.41% 44.64%
SSNC SS&C Technologies Holdings, Inc. 18.78B 0.29%
75.82 2.09% 21.43% 19.79%
TGE PRAIRIE ACQUIROR LP 0.29%
NCLH Norwegian Cruise Line Holdings Ltd. 11.83B 0.29%
26.91 5.90% 44.51% 22.50%
CRL Charles River Laboratories International... 9.50B 0.29%
185.77 1.99% 39.83% 47.29%
TIHLLC PANTHER ESCROW ISSUER, LL 0.29%
DTMINC DT MIDSTREAM, INC. 0.29%
BTECN BAYTEX ENERGY CORP. 0.29%
HBMCN HUDBAY MINERALS INC. 0.29%
EMECLI EMRLD BORROWER LP 0.28%
SQ Block, Inc. 55.57B 0.28%
89.65 2.29% 50.89% 37.84%
NXST Nexstar Media Group, Inc. 4.92B 0.28%
158.49 0.94% 29.42% 14.00%
UNIT Uniti Group Inc. 1.39B 0.28%
5.70 2.33% 53.24% 10.12%
ACRISU ACRISURE, LLC 0.28%
UNSEAM ALLIED UNIVERSAL HOLDCO L 0.28%
ASSPAR ASSUREDPARTNERS, INC. 0.28%
LYV Live Nation Entertainment, Inc. 30.73B 0.28%
133.28 0.82% 28.37% 15.67%
GWCN GARDA WORLD SECURITY CORP 0.28%
VST Vistra Corp. 47.61B 0.28%
139.95 2.17% 62.52% 72.20%
ARMK Aramark 9.96B 0.28%
37.62 0.56% 26.89% 30.70%
HUSKYI HUSKY INJECTION MOLDING S 0.28%
GTN Gray Television, Inc. 271.57M 0.28%
2.9900 -0.66% 170.24% 78.90%
MPW Medical Properties Trust, Inc. 2.32B 0.27%
3.86 2.66% 90.79% 32.94%
ZAYO ZAYO GROUP HOLDINGS INC. 0.27%
LVLT LEVEL 3 FINANCING, INC. 0.27%
PK Park Hotels & Resorts Inc. 3.07B 0.27%
14.85 2.63% 65.07% 55.98%
CRGYFN CRESCENT ENERGY FINANCE L 0.27%
TROX Tronox Holdings plc 1.63B 0.27%
10.29 0.39% 40.87% 53.55%
AMCX AMC Networks Inc. 413.41M 0.27%
9.37 1.30% 78.78% 50.32%
URI United Rentals, Inc. 47.42B 0.27%
722.64 1.65% 34.35% 20.59%
SABHLD SABRE GLBL INC. 0.27%
ENDP ENDO FINANCE HOLDINGS, IN 0.26%
IEP Icahn Enterprises L.P. 4.80B 0.26%
9.53 2.58% 32.14% 59.56%
FOUR Shift4 Payments, Inc. 7.11B 0.26%
103.52 2.23% 42.77% 5.32%
PRSESE PRIME SECURITY SERVICES B 0.26%
CNX CNX Resources Corporation 5.41B 0.26%
36.25 2.58% 65.21% 116.97%
MOHEGN MOHEGAN TRIBAL GAMING AUT 0.26%
OMI Owens & Minor, Inc. 965.40M 0.26%
12.52 -0.79% 55.39% 42.27%
FGP FERRELLGAS, L.P. 0.25%
Total holdings: 252 Recognized Stocks: 136 Recognized ETFs: 1 Others: 115
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