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GSIG | Goldman Sachs Access Investment Grade Corporate 1-5 Year Bond ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
HSBC HSBC Holdings plc 188.08B 2.26%
52.67 0.98% 18.18% 34.95%
DB Deutsche Bank Aktiengesellschaft 37.46B 1.66%
19.74 -1.84% 35.10% 50.78%
MS Morgan Stanley 225.45B 1.10%
139.94 0.89% 21.94% 5.83%
C Citigroup Inc. 153.66B 1.07%
81.86 1.53% 22.82% 10.14%
TD The Toronto-Dominion Bank 100.41B 1.03%
57.37 -0.07% 18.90% 32.23%
JPM JPMorgan Chase & Co. 755.16B 0.89%
268.23 0.62% 20.15% 11.82%
BAC Bank of America Corporation 355.58B 0.89%
46.72 -0.06% 23.52% 25.65%
BK The Bank of New York Mellon Corporation 62.08B 0.72%
86.50 0.53% 17.86% 34.39%
TMUS T-Mobile US, Inc. 271.98B 0.70%
234.37 -0.33% 19.94% 43.38%
COF Capital One Financial Corporation 78.01B 0.67%
204.62 0.35% 31.15% 28.75%
BPLN BP CAPITAL MARKETS AMERIC 0.65%
MUFG Mitsubishi UFJ Financial Group, Inc. 145.29B 0.63%
12.75 0.08% 73.66% 8.28%
AMZN Amazon.com, Inc. 2.47T 0.63%
234.64 -1.02% 39.85% 64.49%
MFCCN MANULIFE FINANCIAL CORPOR 0.62%
F Ford Motor Company 39.66B 0.57%
10.16 -0.49% 48.78% 83.22%
WFC Wells Fargo & Company 259.23B 0.57%
78.82 0.57% 21.76% 2.30%
ABIBB ANHEUSER-BUSCH INBEV WORL 0.55%
AXP American Express Company 224.68B 0.55%
318.95 1.17% 21.59% 17.46%
BMY Bristol-Myers Squibb Company 119.95B 0.55%
59.14 0.15% 26.84% 35.19%
PNC The PNC Financial Services Group, Inc. 80.02B 0.55%
202.07 -0.05% 20.97% 11.83%
TOYOTA TOYOTA MOTOR CREDIT CORPO 0.55%
PG The Procter & Gamble Company 392.55B 0.55%
167.41 0.71% 15.59% 31.94%
LOW Lowe's Companies, Inc. 149.07B 0.55%
264.00 0.87% 26.81% 25.48%
LMT Lockheed Martin Corporation 108.95B 0.54%
459.65 1.16% 19.68% 46.92%
L Loews Corporation 18.77B 0.54%
86.18 0.19% 25.31% 38.97%
VZ Verizon Communications Inc. 166.15B 0.54%
39.47 -2.01% 17.13% 7.96%
AAPL Apple Inc. 3.57T 0.54%
237.59 -0.74% 30.88% 54.09%
BNCN BROOKFIELD FINANCE INC. 0.54%
GMT GATX CORPORATION 0.53%
CVS CVS Health Corporation 71.50B 0.53%
56.82 -0.14% 41.26% 56.01%
CFG Citizens Financial Group, Inc. 21.31B 0.53%
48.36 1.55% 28.37% 8.93%
IBM International Business Machines Corporat... 238.81B 0.53%
258.27 12.96% 27.26% 42.87%
SUMIBK SUMITOMO MITSUI FINANCIAL 0.53%
BNS The Bank of Nova Scotia 63.77B 0.53%
51.86 -0.13% 18.79% 31.19%
ES Eversource Energy 21.04B 0.53%
57.42 0.24% 26.90% 50.99%
V Visa Inc. 672.73B 0.52%
343.05 2.13% 22.23% 46.74%
ORCL Oracle Corporation 476.55B 0.52%
170.38 5.16% 36.33% 50.16%
SO The Southern Company 93.06B 0.52%
84.93 2.54% 22.21% 60.65%
CI Cigna Corporation 78.71B 0.52%
282.98 -6.70% 26.55% 32.07%
KO The Coca-Cola Company 275.91B 0.49%
64.05 1.94% 19.42% 54.80%
GM General Motors Company 49.25B 0.47%
49.50 -0.56% 32.86% 44.00%
BKNG Booking Holdings Inc. 158.01B 0.46%
4,774.33 1.11% 36.18% 78.50%
RTX Raytheon Technologies Corporation 171.67B 0.46%
128.98 3.08% 18.29% 24.88%
HBAN Huntington Bancshares Incorporated 25.26B 0.46%
17.39 1.28% 25.55% 24.49%
HCA HCA Healthcare, Inc. 84.76B 0.45%
334.61 2.13% 26.09% 23.68%
ET Energy Transfer LP 72.18B 0.45%
21.08 2.68% 25.84% 58.34%
TRGP Targa Resources Corp. 44.75B 0.45%
205.21 1.16% 36.70% 82.64%
UNH UnitedHealth Group Incorporated 502.08B 0.45%
545.57 1.39% 22.59% 19.97%
AMT American Tower Corporation 86.83B 0.45%
185.82 1.19% 26.13% 27.29%
CMCSA Comcast Corporation 126.92B 0.44%
33.25 -11.00% 25.49% 36.28%
SRE Sempra 52.76B 0.44%
83.29 1.60% 33.76% 90.26%
COKE Coca-Cola Consolidated, Inc. 11.97B 0.44%
1,366.19 0.94% N/A N/A
NEE NextEra Energy, Inc. 146.62B 0.44%
71.30 0.58% 27.67% 23.35%
INTC Intel Corporation 86.30B 0.44%
20.01 1.32% 70.25% 89.13%
BA The Boeing Company 134.32B 0.44%
179.53 3.38% 31.40% 9.52%
CM Canadian Imperial Bank of Commerce 59.80B 0.44%
63.80 -0.67% 21.68% 27.26%
BWP BOARDWALK PIPELINES, LP 0.44%
DE Deere & Company 130.73B 0.44%
479.99 0.38% 35.14% 38.86%
MO Altria Group, Inc. 87.35B 0.44%
51.54 -2.13% 20.97% 43.70%
DUK Duke Energy Corporation 86.72B 0.43%
112.26 1.48% 22.66% 69.22%
DIS The Walt Disney Company 205.13B 0.43%
113.43 0.21% 35.42% 57.96%
SWK Stanley Black & Decker, Inc. 13.86B 0.43%
89.92 1.73% 39.16% 70.81%
TT Trane Technologies plc 82.43B 0.43%
366.32 0.64% 35.35% 23.31%
BGC BGC Group, Inc 4.60B 0.43%
9.59 2.35% 45.78% 35.03%
JBL Jabil Inc. 17.81B 0.43%
162.64 1.03% 35.87% 54.87%
MCD McDonald's Corporation 208.05B 0.43%
290.32 0.07% 22.79% 54.14%
AL Air Lease Corporation 5.18B 0.43%
46.51 0.91% 41.05% 51.98%
NXPI NXP Semiconductors N.V. 53.73B 0.43%
211.39 -0.76% 37.78% 42.99%
BRK BERKSHIRE HATHAWAY FINANC 0.42%
GPN Global Payments Inc. 28.74B 0.42%
112.91 2.35% 44.18% 55.88%
RY Royal Bank of Canada 174.61B 0.41%
123.40 1.11% 17.17% 29.74%
EPD Enterprise Products Partners L.P. 73.78B 0.41%
34.04 1.16% 20.30% 93.74%
O Realty Income Corporation 47.54B 0.40%
54.32 0.48% 19.81% 43.88%
PEP PepsiCo, Inc. 208.41B 0.40%
151.90 1.02% 21.52% 63.04%
BATSLN B.A.T. INTERNATIONAL FINA 0.40%
DELL Dell Technologies Inc. 73.92B 0.39%
105.35 2.18% 59.91% 45.03%
CSCO Cisco Systems, Inc. 240.84B 0.39%
60.47 1.54% 29.51% 41.49%
CCI Crown Castle Inc. 38.69B 0.39%
89.03 1.30% 28.40% 57.54%
D Dominion Energy, Inc. 46.88B 0.37%
55.81 1.29% 24.61% 31.83%
CVX Chevron Corporation 280.92B 0.36%
156.32 0.40% 23.50% 40.70%
HMN Horace Mann Educators Corporation 1.59B 0.35%
38.95 0.72% 96.47% 28.46%
TFC Truist Financial Corporation 63.75B 0.35%
48.02 1.22% 21.84% 20.47%
UNP Union Pacific Corporation 151.52B 0.35%
249.92 0.15% 18.84% 11.29%
SPLLLC SABINE PASS LIQUEFACTION, 0.34%
S SentinelOne, Inc. 7.75B 0.34%
24.12 1.90% 40.58% 7.55%
SCHW The Charles Schwab Corporation 148.78B 0.34%
83.60 1.88% 22.42% 18.83%
EIX Edison International 20.93B 0.34%
54.06 -3.12% 62.00% 55.21%
STT State Street Corporation 29.97B 0.34%
102.23 1.37% 21.78% 29.68%
BMO Bank of Montreal 72.67B 0.33%
99.60 -0.20% 18.95% 28.14%
MSFT Microsoft Corporation 3.09T 0.33%
414.99 -6.18% 24.10% 29.85%
USB U.S. Bancorp 74.88B 0.33%
48.00 0.71% 23.67% 17.55%
CAT Caterpillar Inc. 181.04B 0.33%
374.98 -4.64% 24.39% 13.32%
EXC Exelon Corporation 40.21B 0.33%
40.02 1.14% 20.35% 34.93%
FGTXX GS TRUST - GS FINANCIAL S 0.33%
ORIX ORIX CORPORATION 0.33%
PM Philip Morris International Inc. 202.63B 0.33%
130.32 0.56% 24.28% 67.15%
WSTP WESTPAC BANKING CORPORATI 0.33%
NRUC National Rural Utilities Cooper 309.25M 0.33%
23.92 0.40% N/A N/A
AVGO Broadcom Inc. 1.01T 0.33%
215.66 4.51% 51.08% 72.79%
MAR Marriott International, Inc. 81.29B 0.33%
292.54 0.99% 26.01% 39.72%
Total holdings: 191 Recognized Stocks: 168 Others: 23
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