iShares $ High Yield Corp Bond UCITS ETF USD (Acc)
- ISIN
- IE00BYXYYL56
- Base currency
- USD
- Currency hedged
- No
- Distributing
- No
- UCITS compliant
- Yes
- NAV as of 2022-06-21
- $5.55
- Annualized return rate
- 11.46% p.a. since inception
- Total NAV (USD)
- 1.4 billion
- Total expense ratio
- 0.5%
Investment strategy
The Share class seeks to track the performance of an index composed of US Dollar denominated high yield corporate bonds.
Index | Markit iBoxx USD Liquid High Yield Capped Index |
---|---|
Structure | Physical |
Currency hedged | No |
Inception date | 2017-04-13 |
Use of income | Accumulating |
---|---|
Distribution frequency | – |
Domicile | Ireland |
Asset classes
Name | % |
---|---|
Fixed Income
|
99% |
Money Market
|
1% |
Cash
|
0% |
Sectors
Name | % |
---|---|
Communications
|
19% |
Energy
|
18% |
Consumer Cyclical
|
15% |
Consumer Non-Cyclical
|
10% |
Capital Goods
|
9% |
Finance Companies
|
5% |
Reits
|
4% |
Insurance
|
4% |
Technology
|
3% |
Banking
|
3% |
Electric
|
3% |
Financial Other
|
2% |
Basic Industry
|
2% |
Cash and/or Derivatives
|
2% |
Transportation
|
1% |
Industrial Other
|
0% |
Brokerage/Asset Managers/Exchanges
|
0% |
Owned No Guarantee
|
0% |
Locations
Name | % |
---|---|
United States
|
89% |
Israel
|
3% |
Germany
|
2% |
Ireland
|
2% |
United Kingdom
|
2% |
Canada
|
1% |
Finland
|
0% |
Cayman Islands
|
0% |
France
|
0% |
Macau
|
0% |
Italy
|
0% |
Netherlands
|
0% |
Luxembourg
|
0% |
Australia
|
0% |
European Union
|
0% |
Jersey
|
0% |
Switzerland
|
0% |
Japan
|
0% |
Singapore
|
0% |
Belgium
|
0% |
Malaysia
|
0% |
Name | Asset class | Sector | Location | Weight |
---|---|---|---|---|
B
BLK ICS USD LEAF AGENCY DIST
IE00BK8MB266
|
Money Market | Cash and/or Derivatives | Ireland | 1.42% |
S
SPRINT CORP
US85207UAF21
|
Fixed Income | Communications | United States | 1.34% |
T
TEVA PHARMACEUTICAL FINANCE NETHER
US88167AAE10
|
Fixed Income | Consumer Non-Cyclical | Israel | 0.92% |
T
TRANSDIGM INC
US893647BL01
|
Fixed Income | Capital Goods | United States | 0.87% |
C
CCO HOLDINGS LLC
US1248EPCN14
|
Fixed Income | Communications | United States | 0.87% |
S
SPRINT CORP
US85207UAH86
|
Fixed Income | Communications | United States | 0.77% |
V
VODAFONE GROUP PLC
US92857WBQ24
|
Fixed Income | Communications | United Kingdom | 0.76% |
C
CENTENE CORPORATION
US15135BAT89
|
Fixed Income | Insurance | United States | 0.72% |
N
NEWELL BRANDS INC
US651229AW64
|
Fixed Income | Consumer Non-Cyclical | United States | 0.7% |
C
CHENIERE ENERGY INC
US16411RAK59
|
Fixed Income | Energy | United States | 0.68% |
Ex-date | Record date | Payment date | Dividend per share |
---|---|---|---|
2017-05-11 | 2017-05-12 | 2017-05-31 | $2.93 |
Ticker | MIC | Currency |
---|---|---|
IHYA | XLON | USD |
IHYA | XMEX | MXN |
IHYA | XSWX | CHF |
1159078 | XTAE | ILS |