ETF Components for HYBB - iShares BB Rated Corporate Bond ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
WDC D 0.78 0.33
JBLU C 2.45 0.30
INGM F -2.21 0.29
CCL B -0.98 0.29
UAL A 1.54 0.27
WFRD F -2.03 0.25
GTLS B -1.69 0.23
CZR F -0.79 0.22
SBAC D 0.43 0.20
GTN F 8.86 0.20
TLN B -1.59 0.19
JAZZ B -2.65 0.19
VAL D 2.24 0.17
TDG D -6.70 0.16
VST B -2.58 0.15
POST D -1.54 0.15
SIRI C 2.00 0.14
COHR C -2.63 0.14
PFGC B 0.53 0.14
DVA C -1.86 0.14
BFH B 0.73 0.14
ACM B -4.72 0.14
PCG A -1.36 0.14
NXST C 0.06 0.13
RBLX B -0.77 0.13
SQ B -2.80 0.13
AMCX C -1.35 0.13
HLF C -5.98 0.12
KNTK B 2.42 0.12
HRI C -2.08 0.12
BYD A -0.73 0.12
ESI B -0.95 0.12
WCC B 0.40 0.12
HGV B -1.99 0.12
VRT B -2.81 0.12
HTZ C 8.44 0.12
SYF B -0.37 0.11
IGT F -4.78 0.11
W F 0.81 0.11
AVTR F -1.99 0.11
ESAB B -1.93 0.11
AAL B 1.78 0.11
DTE D 0.67 0.11
USM C -0.52 0.10
TPX B -0.72 0.10
SBH A 9.98 0.10
GAP B -1.07 0.10
BALL D -0.86 0.10
ADT C -1.45 0.10
CRWD B -1.01 0.10
TRN B -1.32 0.10
ON F -2.15 0.10
TEX D 1.88 0.09
VSAT F -2.15 0.09
WAL B -1.04 0.09
SLGN B -2.18 0.09
ASGN D -3.78 0.09
MOH F -1.07 0.09
GEN B -1.54 0.09
PK C -2.71 0.09
FTRE D -5.08 0.09
AVNT B -0.74 0.09
AIR B -1.86 0.09
CWK C -2.29 0.09
IEP F 1.09 0.09
AM B 0.33 0.09
GDDY B -1.83 0.09
ATSG A -0.18 0.09
MTN C -0.86 0.09
GEO B 2.47 0.09
ADNT D -3.86 0.08
THO B 0.70 0.08
IQV F -4.05 0.08
CRI D -0.78 0.08
ACI C 0.00 0.08
XPO B -0.39 0.08
GNL F -2.67 0.08
BLDR C 0.73 0.08
AMKR F 0.15 0.08
NEP F 1.92 0.08
SLM A -0.12 0.08
OGN F -1.92 0.08
ESTC C -0.99 0.08
WH A -0.47 0.08
FLR C 0.93 0.08
LW B 0.42 0.08
ACCO B -3.37 0.08
AXTA A 0.15 0.08
LADR B 0.34 0.08
OUT B -0.05 0.08
SRCL B 0.00 0.08
PARA B 1.70 0.08
PPC C -4.53 0.08
DO D 0.00 0.08
CXW B -0.42 0.08
ECPG C -1.08 0.08
ALGT B 2.07 0.08
HHH B -1.55 0.08
NMRK B -2.62 0.08
MTDR B 1.72 0.08
SNEX B 0.15 0.08
SCI B -1.21 0.08
THC B -0.17 0.08
ZBRA B -1.39 0.08
RNG C -3.16 0.07
PTC B -1.21 0.07
MD C -3.02 0.07
KFY B -2.17 0.07
SAH B -1.30 0.07
RLJ C -3.40 0.07
LAD B -0.93 0.07
COOP B -0.87 0.07
MWA B -2.36 0.07
ATGE C -5.60 0.07
ZD B -0.86 0.07
FCFS F -2.42 0.07
DY C -0.77 0.07
LYV A 1.71 0.07
FTAI B -2.94 0.07
GHC B -0.73 0.07
PHIN B -0.36 0.07
TNET C -0.98 0.07
HLT A -1.03 0.07
PAG B 0.71 0.07
COTY D 2.85 0.07
NAVI D -0.46 0.07
NCLH B -2.27 0.07
URI B -1.07 0.07
OLN F -2.04 0.07
EPC F 0.84 0.07
SCS B -0.75 0.07
DAR B -2.19 0.07
NWSA B 0.90 0.07
ALLY C -0.98 0.07
GPI B -1.53 0.07
ARLP A 1.69 0.07
TGNA B -3.10 0.07
TFX F -1.65 0.07
NSIT F -3.31 0.07
LTH D -1.49 0.07
EIX C -0.06 0.07
NGVT B -0.92 0.07
IRM D -2.47 0.07
UA B 1.37 0.07
PFSI D -1.45 0.07
BWXT B -2.94 0.06
MGM D -1.21 0.06
HLX C -1.90 0.06
AIZ A 1.05 0.06
TCBI B -0.25 0.06
ST F -0.15 0.06
CIEN B -2.31 0.06
MTX B 0.04 0.06
HOLX D -2.07 0.06
TMHC B 0.56 0.06
SM C 1.26 0.06
CACC D -0.05 0.06
WMS F -2.09 0.06
SEE C -0.14 0.06
CIVI D 1.02 0.06
CHTR B -2.95 0.06
PBH A 0.57 0.06
BCC B -1.54 0.06
RXO C -1.26 0.06
TRS D -3.44 0.06
HESM C 2.92 0.06
TTMI B -1.28 0.06
CCOI C -1.06 0.06
AA C 1.53 0.06
ATKR C -1.35 0.06
NWL B -1.32 0.06
CNX B -0.54 0.06
VSTO A -0.05 0.06
TWLO B -2.72 0.06
VNOM C -1.55 0.06
RHP B -0.99 0.06
CRL C -4.67 0.06
NRG C -0.91 0.06
CCK D -2.11 0.06
LEVI F -1.30 0.06
ET A 0.29 0.06
CCS F 2.38 0.06
BCO F -1.84 0.06
RRC B -0.83 0.06
SXC B -0.81 0.06
MUR D 2.71 0.05
VNO C -1.02 0.05
DFH F 0.00 0.05
OII B -1.01 0.05
DAN D -2.46 0.05
CLF F -3.86 0.05
ASH F 0.77 0.05
AMN F -2.97 0.05
PR C 0.33 0.05
STWD C 0.62 0.05
WGO B -0.56 0.05
JWN B -0.17 0.05
CRS B -2.78 0.05
GOLF B -0.55 0.05
OI C 2.90 0.05
ALSN B -1.07 0.05
TPH C 1.79 0.05
SYNA C 0.99 0.05
IBP F 0.12 0.05
VIAV C -1.66 0.05
FL F -2.34 0.05
ENTG F -3.44 0.05
ABG B -1.20 0.05
LAMR D -0.86 0.05
SUN F 0.29 0.05
EHC B -1.44 0.05
LPX A 0.89 0.05
BLD F 1.11 0.05
AES F 2.79 0.05
AR B -2.50 0.05
FOUR B -2.55 0.05
BXMT D -0.06 0.05
CMC B -1.98 0.04
REZI A 0.00 0.04
CLH B -3.29 0.04
FUL F -0.54 0.04
CXT F -0.63 0.04
KBR D -14.02 0.04
PRGO C 0.45 0.04
BECN B -1.40 0.04
BSIG B 0.10 0.04
FOR F 0.30 0.04
MUSA B 0.19 0.04
SPR F -0.62 0.04
GNW B -0.95 0.04
ENS D -0.68 0.04
LGIH F 0.97 0.04
X D -3.78 0.04
GPK D -0.87 0.04
IMKTA B 0.33 0.04
YUM B 1.09 0.04
VLY B -0.39 0.04
VFC C 1.40 0.04
BDN D 0.00 0.04
PRAA C -0.82 0.04
CENT C -0.11 0.04
KSS D 2.93 0.04
BBWI C -0.89 0.04
TNL A 0.39 0.04
HI C 11.70 0.04
STX D -0.82 0.04
HPP F -5.70 0.04
MHO D 0.82 0.04
KBH D 0.47 0.04
CHRD D 1.43 0.04
RCL A -0.53 0.04
CSTM F -2.91 0.03
WBA D -2.44 0.03
BERY D -1.00 0.03
AAP C 0.64 0.03
OMF A 0.24 0.03
M C 3.32 0.02

Recent News for iShares BB Rated Corporate Bond ETF & its Holdings

Date Stock Title
Nov 15 LTH Michael Dell's Strategic Emphasis on Hayward Holdings in Q3 2024
Nov 15 IEP Carl Icahn's Strategic Moves in Icahn Enterprises LP Amplify His Portfolio in Q3 2024
Nov 15 ET As The Market Reaches ATH, Keep Adding Energy Transfer
Nov 15 VST Appaloosa Hedge Fund Buys Vistra, Sells Boeing
Nov 15 NRG Appaloosa Hedge Fund Buys Vistra, Sells Boeing
Nov 15 M Appaloosa Hedge Fund Buys Vistra, Sells Boeing
Nov 15 AAL Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
Nov 15 NRG Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
Nov 15 IQV Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
Nov 15 HLT Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
Nov 15 WDC Elliott Investment Management Adds To Southwest, Western Digital, Etsy, Match Group; Trims BILL Holdings, Seadrill, BlackLine, NRG Energy In Q3
Nov 15 GTLS Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 15 NRG Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 15 WFRD Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 15 VST Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 15 MUSA Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 15 SM Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 15 CIVI Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 15 VRT Viking Fund Management Sells Big Oil Stocks In Q3, Cuts Tesla Position In Half, Adds To Largest Position Broadcom
Nov 15 POST Post Holdings (POST) Q4 Earnings: How Key Metrics Compare to Wall Street Estimates
The investment seeks to track the investment results of the ICE BofA BB US High Yield Constrained Index composed of BB, or equivalently rated, fixed rate U.S. dollar-denominated bonds issued by U.S. and non-U.S. corporations. The fund generally will invest at least 90% of its assets in the component securities of the underlying index and may invest up to 10% of its assets in certain futures, options and swap contracts, cash and cash equivalents, including shares of money market funds advised by BFA or its affiliates (BlackRock Cash Funds), as well as in securities not included in the index, but which BFA believes will help it track the index.
Exchange Traded Fund Bond High Yield Debt Swaps Money Market Fund Cash And Cash Equivalents
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