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

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

Net assets
12M $
Bond lines
410 from 224 companies

The bonds it holds

224 companies, 410 bond lines; the 100 largest follow. Only issuers whose shares this site already serves appear here.

RankCompanyBond linesValueWeight
1JPMorgan Chase & Co14334.6K $2.79 %
2Morgan Stanley9290.2K $2.42 %
3Bank of America Corp14285.2K $2.38 %
4Wells Fargo & Co11213.5K $1.78 %
5Citigroup Inc8210.9K $1.76 %
6Apple Inc3129.4K $1.08 %
7Bank of Nova Scotia/The3119.6K $1.00 %
8Verizon Communications Inc4113.9K $0.95 %
9US Bancorp6108.7K $0.91 %
10Crown Castle Inc3100.3K $0.84 %
11Royal Bank of Canada698.5K $0.82 %
12American Tower Corp495.3K $0.79 %
13Capital One Financial Corp493.1K $0.78 %
14Comcast Corp392.8K $0.77 %
15Bank of New York Mellon Corp/The388.5K $0.74 %
16Toronto-Dominion Bank/The488.2K $0.74 %
17Fifth Third Bancorp385.1K $0.71 %
18PNC Financial Services Group Inc/The483K $0.69 %
19Oracle Corp380.1K $0.67 %
20S&P Global Inc178.3K $0.65 %
21Sumitomo Mitsui Financial Group Inc577.9K $0.65 %
22State Street Corp476.6K $0.64 %
23Lockheed Martin Corp275.5K $0.63 %
24Honeywell International Inc473K $0.61 %
25Cummins Inc172K $0.60 %
26Energy Transfer LP369.6K $0.58 %
27Bank of Montreal469.4K $0.58 %
28Boeing Co/The569.1K $0.58 %
29Nasdaq Inc166.9K $0.56 %
30Cadence Design Systems Inc166.3K $0.55 %
31Mitsubishi UFJ Financial Group Inc365.9K $0.55 %
32Equinor ASA165.8K $0.55 %
33Globe Life Inc165.7K $0.55 %
34Philip Morris International Inc.465.1K $0.54 %
35Rockwell Automation Inc164.3K $0.54 %
36Amazon.com Inc364K $0.53 %
37Broadcom Inc463.2K $0.53 %
38Westpac Banking Corp160.6K $0.51 %
39Ford Motor Co260K $0.50 %
40AbbVie Inc359.1K $0.49 %
41American Express Co458.4K $0.49 %
42Truist Financial Corp358.2K $0.49 %
43Canadian Imperial Bank of Commerce256K $0.47 %
44UnitedHealth Group Inc255.9K $0.47 %
45McDonald's Corp.255.6K $0.46 %
46Intercontinental Exchange Inc355.4K $0.46 %
47CVS Health Corp355K $0.46 %
48Waste Management Inc353.8K $0.45 %
49United Parcel Service Inc252.1K $0.43 %
50Republic Services Inc251.2K $0.43 %
51Edison International250.3K $0.42 %
52AT&T Inc249.9K $0.42 %
53Kenvue Inc249.5K $0.41 %
54Ryder System Inc247.8K $0.40 %
55Cigna Group/The247.6K $0.40 %
56Charles Schwab Corp/The346.5K $0.39 %
57Amgen Inc245.7K $0.38 %
58ArcelorMittal SA244.4K $0.37 %
59Visa Inc244.3K $0.37 %
60CSX Corp244K $0.37 %
61Northrop Grumman Corp243.8K $0.37 %
62Ingersoll Rand Inc141.5K $0.35 %
63Lincoln National Corp241.4K $0.35 %
64Centene Corp240.3K $0.34 %
65Omega Healthcare Investors Inc140.2K $0.34 %
66Stanley Black & Decker Inc140.2K $0.34 %
67Sempra239.7K $0.33 %
68Lowe's Cos Inc239.2K $0.33 %
69Walt Disney Co/The239K $0.33 %
70Citizens Financial Group Inc138.6K $0.32 %
71PepsiCo Inc338K $0.32 %
72Pfizer Inc136.6K $0.31 %
73Roper Technologies Inc236.3K $0.30 %
74First Citizens BancShares Inc/NC136.3K $0.30 %
75Expand Energy Corp135.6K $0.30 %
76Marriott International Inc/MD135.1K $0.29 %
77McKesson Corp135.1K $0.29 %
78Becton Dickinson & Co134.9K $0.29 %
79Arrow Electronics Inc134.7K $0.29 %
80Intel Corp234.7K $0.29 %
81Texas Instruments Inc134.7K $0.29 %
82Huntington Bancshares Inc/OH234.5K $0.29 %
83Eli Lilly & Co133.1K $0.28 %
84RTX Corp232.6K $0.27 %
85Merck & Co Inc132.4K $0.27 %
86Air Lease Corp231.8K $0.27 %
87Entergy Corp231.5K $0.26 %
88Meta Platforms Inc231.4K $0.26 %
89Hercules Capital Inc230.8K $0.26 %
90Home Depot Inc/The230.5K $0.25 %
91M&T Bank Corp230.2K $0.25 %
92Prudential Financial, Inc.229.9K $0.25 %
93Corebridge Financial Inc229.5K $0.25 %
94International Business Machines Corp.129K $0.24 %
95GATX Corp129K $0.24 %
96Amphenol Corp128.7K $0.24 %
97Martin Marietta Materials Inc128.3K $0.24 %
98KeyCorp127.7K $0.23 %
99Keysight Technologies Inc227.5K $0.23 %
100Humana Inc127.3K $0.23 %
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Titelia. "Holdings of Goldman Sachs Access Investment Grade Corporate 1-5 Year Bond ETF". https://titelia.com/en/funds/S000066921