Titelia

Holdings of Goldman Sachs Access High Yield Corporate Bond ETF

ISIN US3814304537

Goldman Sachs ETF Trust · Compare with another fund · Report an error

Net assets
136.1M $
Bond lines
356 from 152 companies

The bonds it holds

152 companies, 356 bond lines; the 100 largest follow. Only issuers whose shares this site already serves appear here.

RankCompanyBond linesValueWeight
1Tenet Healthcare Corp101.5M $1.13 %
2SUNOCO LP71.2M $0.89 %
3NRG Energy Inc71.1M $0.82 %
4Iron Mountain Inc8899.1K $0.66 %
5Bausch Health Cos Inc8887.4K $0.65 %
6Post Holdings Inc6865.4K $0.64 %
7Carnival Corp5853.6K $0.63 %
8SM Energy Co6799.8K $0.59 %
9Caesars Entertainment Inc4786.2K $0.58 %
10Yum! Brands Inc5771.5K $0.57 %
11Cleveland-Cliffs Inc4676.2K $0.50 %
12Block Inc3645.6K $0.47 %
13Organon & Co2637K $0.47 %
14Albertsons Cos Inc3626.5K $0.46 %
15Carvana Co2621.4K $0.46 %
16Navient Corp4610.4K $0.45 %
17Service Properties Trust5603.4K $0.44 %
18PennyMac Financial Services Inc5594.3K $0.44 %
19PG&E Corp3569.8K $0.42 %
20Molina Healthcare Inc2549.9K $0.40 %
21Gray Media Inc5533.3K $0.39 %
22Ball Corp2524.3K $0.39 %
23Newell Brands Inc5523.8K $0.38 %
24First Quantum Minerals Ltd2513.3K $0.38 %
25Bombardier Inc3510.3K $0.38 %
26Whirlpool Corp4509.8K $0.37 %
27Starwood Property Trust Inc5496.9K $0.37 %
28DaVita Inc2496.1K $0.36 %
29Goodyear Tire & Rubber Co/The5489.9K $0.36 %
30Genesis Energy LP3487.8K $0.36 %
31Clear Channel Outdoor Holdings Inc4484.6K $0.36 %
32Service Corp International/US4470.9K $0.35 %
33ATI Inc4470.6K $0.35 %
34ICAHN ENTERPRISES LP5467.7K $0.34 %
35Rogers Communications Inc3461.7K $0.34 %
36Nissan Motor Co Ltd2443.9K $0.33 %
37MGM Resorts International3437.9K $0.32 %
38XPO Inc3427.9K $0.31 %
39Gen Digital Inc2400.8K $0.29 %
40Rakuten Group Inc2400K $0.29 %
41Bath & Body Works Inc4397.6K $0.29 %
42GFL Environmental Inc4385.6K $0.28 %
43TopBuild Corp3384.1K $0.28 %
44Herc Holdings Inc2376.8K $0.28 %
45CVS Health Corp2373.5K $0.27 %
46EchoStar Corp2371.7K $0.27 %
47EquipmentShare.com Inc3369.9K $0.27 %
48Chart Industries Inc2362K $0.27 %
49Commercial Metals Co3352.8K $0.26 %
50Comstock Resources Inc2335.7K $0.25 %
51Chemours Co/The4333.9K $0.25 %
52Builders FirstSource Inc4333.9K $0.25 %
53Boyd Gaming Corp2324.9K $0.24 %
54Mineral Resources Ltd2323.8K $0.24 %
55Snap Inc2318.6K $0.23 %
56SBA Communications Corp2318.3K $0.23 %
57Live Nation Entertainment Inc2298K $0.22 %
58Churchill Downs Inc2294.7K $0.22 %
59CVR Energy Inc2288.7K $0.21 %
60Advance Auto Parts Inc2283.8K $0.21 %
61Olin Corp3279.4K $0.21 %
62Travel + Leisure Co2277.7K $0.20 %
63Coinbase Global Inc2275.3K $0.20 %
64Scotts Miracle-Gro Co/The2268.5K $0.20 %
65Somnigroup International Inc2264.8K $0.19 %
66Rithm Capital Corp1261.6K $0.19 %
67Axon Enterprise Inc2261.3K $0.19 %
68Fair Isaac Corp2258.1K $0.19 %
69GEO Group Inc/The2255.3K $0.19 %
70BAUSCH + LOMB CORP1249K $0.18 %
71EW Scripps Co/The2244.9K $0.18 %
72Viasat Inc3239.6K $0.18 %
73Lamb Weston Holdings Inc2237.1K $0.17 %
74AES Corp/The2226.3K $0.17 %
75goeasy Ltd2225.6K $0.17 %
76Asbury Automotive Group Inc2217.8K $0.16 %
77Enova International Inc2215.4K $0.16 %
78TransAlta Corp2212.1K $0.16 %
79PRA Group Inc2210.9K $0.16 %
80TEGNA Inc2210.8K $0.15 %
81Entegris Inc2208.8K $0.15 %
82Kioxia Holdings Corp.1208.3K $0.15 %
83Arcosa Inc2203.6K $0.15 %
84Charles River Laboratories International Inc1203.3K $0.15 %
85Brightstar Lottery PLC1199.8K $0.15 %
86Murphy Oil Corp2198K $0.15 %
87Delek Logistics Partners LP2197.4K $0.15 %
88TriNet Group Inc2197.3K $0.14 %
89Gap Inc/The2197K $0.14 %
90Global Partners LP/MA1196.8K $0.14 %
91YEOMAN CAPITAL SA1194K $0.14 %
92AMC Networks Inc3188.4K $0.14 %
93Hologic Inc2183.4K $0.13 %
94Sealed Air Corp2180.5K $0.13 %
95Chord Energy Corp1176.8K $0.13 %
96Six Flags Entertainment Corp2174.3K $0.13 %
97Clean Harbors Inc1173.4K $0.13 %
98USA Compression Partners LP2171.7K $0.13 %
99Suburban Propane Partners LP1168.9K $0.12 %
100Lumen Technologies Inc2166.8K $0.12 %
Cite this page

Titelia. "Holdings of Goldman Sachs Access High Yield Corporate Bond ETF". https://titelia.com/en/funds/S000057842