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SHYG · iShares 0-5 Year High Yield Corporate Bond ETF ETF

iShares Trust

SEC fund profile
$41.99 -0.02% At close · Sep 4
Net assets $7,563,292,873
Holdings1,156
1 month
-0.38%
Year to date
+2.01%
52-week range
$41.83–$43.39
30-session avg volume
1,352,740

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000042353
Report date
Apr 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings17.53%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

DBT96.87%
STIV14.22%
LON0.19%
EC0.01%

Country allocation

US94.07%
CA4.17%
XX1.91%
GB1.72%
LU1.44%
KY1.42%
JP1.33%
Other5.23%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
BlackRock Funds III$955,549,41912.63%
BLACKROCK CASH FUNDS TREASURY SL AGENCY SHARES$120,190,0001.59%
ECHOSTAR CORP$40,059,3500.53%
CLOUD SOFTWARE GRP INC$34,640,7440.46%
CLOUD SOFTWARE GRP INC$33,244,7410.44%
WULF COMPUTE LLC$29,718,1040.39%
HUB INTERNATIONAL LTD$29,152,0110.39%
VENTURE GLOBAL LNG INC$28,858,7560.38%
DISH NETWORK CORP$27,649,7640.37%
AMERICAN AIRLINES/AADVAN$26,509,7910.35%
CCO HLDGS LLC/CAP CORP$26,378,3640.35%
DISH DBS CORP$25,212,5230.33%
TRANSDIGM INC$25,043,0700.33%
DAVITA INC$24,434,6980.32%
NEPTUNE BIDCO US INC$23,664,5770.31%
MAUSER PACKAGING SOLUT$23,593,6540.31%
CCO HLDGS LLC/CAP CORP$23,322,9120.31%
DISH DBS CORP$22,899,1580.30%
APLD COMPUTECO LLC$22,108,0200.29%
NISSAN MOTOR CO$21,757,9020.29%
MEDLINE BORROWER LP$21,670,2070.29%
CCO HLDGS LLC/CAP CORP$21,526,2790.28%
CCO HLDGS LLC/CAP CORP$20,740,6060.27%
NISSAN MOTOR CO$20,489,6590.27%
VENTURE GLOBAL LNG INC$20,464,5420.27%
STAPLES INC$20,361,9140.27%
ATHENAHEALTH GROUP INC$20,155,1780.27%
RAKUTEN GROUP INC$19,839,4570.26%
SV RNO PROPERTY OWNER 1$19,778,9790.26%
UKG INC$19,322,2570.26%
ORGANON & CO/ORGANON FOR$18,967,1600.25%
COREWEAVE INC$18,573,3530.25%
TRANSDIGM INC$18,477,0700.24%
VOLTAGRID LLC$18,476,7090.24%
ROCKET COS INC$18,315,7020.24%
DISH DBS CORP$18,297,8400.24%
TENET HEALTHCARE CORP$18,271,1400.24%
1011778 BC / NEW RED FIN$18,198,7190.24%
CONNECT FINCO SARL/CONNE$18,128,5100.24%
INGRAM MICRO INC$17,996,9050.24%
TENNECO INC$17,684,4970.23%
EMRLD BOR / EMRLD CO-ISS$17,573,9600.23%
SIRIUS XM RADIO LLC$17,390,2440.23%
CAESARS ENTERTAIN INC$17,292,2200.23%
DIRECTV FIN LLC/COINC$17,182,8850.23%
RAKUTEN GROUP INC$16,066,5930.21%
APLD COMPUTECO 2 LLC$15,723,4840.21%
HERC HOLDINGS INC$15,579,6280.21%
SS&C TECHNOLOGIES INC$15,310,1700.20%
VENTURE GLOBAL PLAQUE$15,220,9560.20%