Fixed Income

HYG

iShares iBoxx $ High Yield Corporate Bond ETF

Overview

Important Information: Capital at Risk. The value of investments and the income from them can fall as well as rise and are not guaranteed. Investors may not get back the amount originally invested.

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Performance

Performance

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Distributions

Record Date Ex-Date Payable Date
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This chart shows the fund's performance as the percentage loss or gain per year over the last 10 years.

  2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
Total Return (%) 2.0 -5.6 13.9 6.1 -1.9 14.2 4.1 4.1 -11.4 12.4
Benchmark (%) 2.1 -5.0 15.3 6.3 -1.5 14.7 4.7 4.5 -10.7 12.9
  From
31-Mar-2019
To
31-Mar-2020
From
31-Mar-2020
To
31-Mar-2021
From
31-Mar-2021
To
31-Mar-2022
From
31-Mar-2022
To
31-Mar-2023
From
31-Mar-2023
To
31-Mar-2024
Total Return (%)

as of 31/Mar/2024

-6.27 18.92 -1.21 -3.93 9.85
Benchmark (%)

as of 31/Mar/2024

-6.14 19.74 -0.77 -3.25 10.14
  1y 3y 5y 10y Incept.
9.85 1.40 3.05 3.33 4.75
Benchmark (%) 10.14 1.88 3.51 3.84 5.22
  YTD 1m 3m 6m 1y 3y 5y 10y Incept.
1.13 1.11 1.13 8.38 9.85 4.26 16.21 38.78 120.02
Benchmark (%) 1.13 1.10 1.13 8.42 10.14 5.74 18.84 45.75 137.22

Key Facts

Key Facts

Net Assets of Fund
as of 29/May/2024
USD 16,835,369,498
Exchange
NYSE Arca
Benchmark Index
Markit iBoxx USD Liquid High Yield Index
SFDR Classification
Other
Premium/Discount
as of 29/May/2024
0.03
ISA Eligibility
No
Volume - 1d
as of 29/May/2024
38,799,997.00
Fund Launch Date
04/Apr/2007
Asset Class
Fixed Income
Index Ticker
IBOXHY
Distribution Frequency
Monthly
CUSIP
464288513
UK Reporting Status
No

Portfolio Characteristics

Portfolio Characteristics

Number of Holdings
as of 29/May/2024
1244
12 Month Trailing Dividend Distribution Yield
as of 28/May/2024
5.96
Weighted Average YTM
as of 29/May/2024
8.09%
Weighted Avg Maturity
as of 29/May/2024
4.42
Convexity
as of 29/May/2024
-0.08
Equity Beta (3y)
as of 30/Apr/2024
0.44
Standard Deviation (3y)
as of 30/Apr/2024
9.10
Weighted Avg Coupon
as of 29/May/2024
6.17
Effective Duration
as of 29/May/2024
3.35
Option Adjusted Spread
as of 29/May/2024
304.95

Fees

Fees

as of current prospectus
Management Fee 0.49
Acquired Fund Fees and Expenses 0.00
Foreign Taxes and Other Expenses 0.00
Gross Expense Ratio 0.49

Registered Locations

Registered Locations

  • Finland

  • Netherlands

  • Sweden

  • United Kingdom

Holdings

Holdings

as of 29/May/2024
Issuer Weight (%)
CCO HOLDINGS LLC 2.35
TRANSDIGM INC 1.42
CHS/COMMUNITY HEALTH SYSTEMS INC 1.16
TENET HEALTHCARE CORPORATION 1.10
CSC HOLDINGS LLC 1.07
Issuer Weight (%)
VENTURE GLOBAL LNG INC 1.04
CLOUD SOFTWARE GROUP INC 0.86
BAUSCH HEALTH COMPANIES INC 0.82
SIRIUS XM RADIO INC 0.81
TEVA PHARMACEUTICAL FINANCE NETHERLANDS III BV 0.79
Name Sector Asset Class Market Value Weight (%) Notional Value Par Value CUSIP ISIN SEDOL Price Location Exchange Currency Duration YTM (%) FX Rate Maturity Coupon (%) Mod. Duration Yield to Call (%) Yield to Worst (%) Real Duration Real YTM (%) Market Currency Accrual Date Effective Date
Detailed Holdings and Analytics contains detailed portfolio holdings information and select analytics.



The values shown for “market value,” “weight,” and “notional value” (the “calculated values”) are based off of a price provided by a third-party pricing vendor for the portfolio holding and do not reflect the impact of systematic fair valuation (“the vendor price”). The vendor price is not necessarily the price at which the Fund values the portfolio holding for the purposes of determining its net asset value (the “valuation price”). Holdings data shown reflects the investment book of record, which may differ from the accounting book of record used for the purposes of determining the Net Assets of the Fund. Additionally, where applicable, foreign currency exchange rates with respect to the portfolio holdings denominated in non-U.S. currencies for the valuation price will be generally determined as of the close of business on the New York Stock Exchange, whereas for the vendor price will be generally determined as of 4 p.m. London. The calculated values may have been different if the valuation price were to have been used to calculate such values. The vendor price is as of the most recent date for which a price is available and may not necessarily be as of the date shown above.

Please see the “Determination of Net Asset Value” section of each Fund’s prospectus for additional information on the Fund’s valuation policies and procedures.

Exposure Breakdowns

Exposure Breakdowns

as of 29/May/2024

% of Market Value

Type Fund
as of 29/May/2024

% of Market Value

Type Fund
The maturity breakdown above is based on Weighted Average Life (WAL). WAL is the average length of time to the repayment of principal for the securities in the fund. This metric considers the likelihood that bonds will be called or prepaid before the scheduled maturity date.

as of 29/May/2024

% of Market Value

Type Fund
Credit quality ratings on underlying securities of the fund are received from S&P, Moody’s and Fitch and converted to the equivalent S&P major rating category. This breakdown is provided by BlackRock and takes the median rating of the three agencies when all three agencies rate a security, the lower of the two ratings if only two agencies rate a security, and one rating if that is all that is provided. Unrated securities do not necessarily indicate low quality. Below investment-grade is represented by a rating of BB and below. Ratings and portfolio credit quality may change over time.
Allocations are subject to change.

Listings

Listings

Exchange Ticker Currency Listing Date SEDOL Bloomberg Ticker
NYSE Arca HYG USD 11/Apr/2007 - -
Bolsa Mexicana De Valores HYG MXN 30/Jun/2009 B2R9S32 HYG* MM
Santiago Stock Exchange HYG CLP 11/Apr/2007 - -

Literature

Literature