HYSA vs. FSTA ETF Comparison

Comparison of BondBloxx USD High Yield Bond Sector Rotation ETF (HYSA) to Fidelity MSCI Consumer Staples Index ETF (FSTA)
HYSA

BondBloxx USD High Yield Bond Sector Rotation ETF

HYSA Description

The fund is "actively managed" and does not seek to replicate the performance of a specified index. The fund is newly organized and operates as a "fund of funds," meaning that it primarily invests its assets in securities of other ETFs. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$15.22

Average Daily Volume

7,276

Number of Holdings *

7

* may have additional holdings in another (foreign) market
FSTA

Fidelity MSCI Consumer Staples Index ETF

FSTA Description The investment seeks to provide investment returns that correspond, before fees and expenses, generally to the performance of the MSCI USA IMI Consumer Staples Index. Investing at least 80% of assets in securities included in the fund's underlying index. The fund's underlying index is the MSCI USA IMI Consumer Staples Index, which represents the performance of the consumer staples sector in the U.S. equity market. It may or may not hold all of the securities in the MSCI USA IMI Consumer Staples Index. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$50.47

Average Daily Volume

101,513

Number of Holdings *

98

* may have additional holdings in another (foreign) market
Performance
Period HYSA FSTA
30 Days 0.23% -0.12%
60 Days 0.09% -1.08%
90 Days 2.41% 0.42%
12 Months 11.61% 20.20%
0 Overlapping Holdings
Symbol Grade Weight in HYSA Weight in FSTA Overlap
HYSA Overweight 7 Positions Relative to FSTA
Symbol Grade Weight
XHYI A 24.07%
XHYT A 20.28%
XHYF A 14.06%
XHYC A 12.65%
XHYE A 10.07%
XHYH A 9.93%
XHYD A 8.87%
HYSA Underweight 98 Positions Relative to FSTA
Symbol Grade Weight
COST A -12.93%
PG C -12.26%
WMT A -11.77%
KO D -7.89%
PM A -4.42%
PEP F -4.42%
MO A -3.19%
MDLZ F -2.97%
TGT F -2.43%
CL D -2.39%
KVUE A -1.54%
KMB C -1.53%
MNST C -1.46%
KR B -1.43%
STZ D -1.37%
KDP D -1.35%
SYY D -1.33%
GIS D -1.27%
KHC F -1.03%
HSY F -0.97%
CHD A -0.95%
ADM D -0.91%
K A -0.81%
CLX A -0.77%
MKC C -0.71%
TSN B -0.68%
DG F -0.6%
USFD A -0.6%
CASY A -0.59%
SFM B -0.58%
PFGC B -0.53%
EL F -0.52%
CAG D -0.5%
DLTR F -0.49%
TAP C -0.48%
BG D -0.48%
SJM D -0.47%
BJ B -0.47%
LW C -0.45%
INGR B -0.42%
BRBR A -0.41%
CPB D -0.36%
HRL D -0.36%
FRPT B -0.33%
DAR C -0.3%
COKE C -0.3%
ACI C -0.29%
ELF C -0.29%
POST C -0.27%
WBA F -0.26%
CALM A -0.23%
WDFC B -0.23%
FLO D -0.21%
SMPL B -0.19%
SAM C -0.19%
LANC D -0.19%
SPB C -0.18%
PPC B -0.18%
JJSF C -0.17%
CELH F -0.16%
ENR A -0.16%
IPAR B -0.16%
PSMT D -0.16%
COTY F -0.15%
CHEF A -0.14%
CENTA C -0.14%
FDP A -0.14%
TPB A -0.13%
GO C -0.13%
WMK B -0.13%
REYN D -0.13%
ANDE F -0.13%
UNFI A -0.13%
THS F -0.12%
EPC F -0.12%
FIZZ C -0.12%
UVV B -0.12%
UTZ D -0.11%
IMKTA C -0.11%
VITL D -0.1%
KLG D -0.1%
JBSS F -0.09%
SEB F -0.09%
AVO B -0.08%
HAIN D -0.08%
SPTN F -0.08%
HLF C -0.08%
MGPI F -0.07%
NAPA A -0.07%
TR B -0.06%
USNA C -0.06%
CVGW D -0.06%
BGS F -0.06%
CENT C -0.05%
NUS C -0.05%
SENEA A -0.04%
BYND F -0.04%
OLPX D -0.03%
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