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iShares iBoxx $ High Yield Corporate Bond ETF

Open-end / ETF
Registrant
iShares Trust
Class ticker
HYG
Net Assets
$16,106,323,303
Holdings
1,324
Latest Report
May 31, 2026

Net Assets Over Time

Holdings · 1,324

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Showing 1–50 of 1,324 holdings by value · page 1 of 27
Holding Balance Value % of Fund Open
BlackRock Funds III
2,043,650,109 $2,044,263,204 12.69%
1261229 BC LTD
85,616,000 $87,699,320 0.54%
ECHOSTAR CORP
65,578,000 $71,331,046 0.44%
CLOUD SOFTWARE GRP INC
55,384,000 $54,716,623 0.34%
QUIKRETE HOLDINGS INC
52,157,000 $53,135,538 0.33%
CLOUD SOFTWARE GRP INC
53,332,000 $53,003,038 0.33%
DISH NETWORK CORP
49,644,000 $51,216,320 0.32%
SV RNO PROPERTY OWNER 1
49,064,000 $48,443,282 0.30%
NEXSTAR MEDIA INC
47,521,000 $47,878,534 0.30%
HUB INTERNATIONAL LTD
46,078,000 $47,299,067 0.29%
BLACKROCK CASH FUNDS TREASURY SL AGENCY SHARES
47,080,000 $47,080,000 0.29%
VENTURE GLOBAL LNG INC
42,050,000 $45,795,663 0.28%
ASURION LLC/ASURION CO
45,933,000 $44,877,317 0.28%
ASURION LLC/ASURION CO
42,794,000 $44,659,545 0.28%
CRC INSURANCE GROUP LLC
44,429,000 $44,523,412 0.28%
WULF COMPUTE LLC
40,448,386 $42,513,782 0.26%
PR RNO PROPERTY OWNER 1
42,140,000 $42,183,872 0.26%
EMRLD BOR / EMRLD CO-ISS
40,981,000 $41,943,201 0.26%
MERIDIAN ARC HOLDCO LLC
41,490,000 $41,705,711 0.26%
AMERICAN AIRLINES/AADVAN
41,418,801 $41,367,028 0.26%
TRANSDIGM INC
40,690,000 $41,152,157 0.26%
DAVITA INC
42,005,000 $40,764,206 0.25%
1011778 BC / NEW RED FIN
40,225,000 $38,171,590 0.24%
TRANSDIGM INC
36,442,000 $37,163,399 0.23%
CCO HLDGS LLC/CAP CORP
39,142,000 $37,006,334 0.23%
DISH DBS CORP
36,369,000 $35,664,987 0.22%
NEPTUNE BIDCO US INC
34,788,000 $35,565,898 0.22%
CCO HLDGS LLC/CAP CORP
38,203,000 $35,495,064 0.22%
NISSAN MOTOR CO
35,793,000 $35,299,805 0.22%
DISCOVERY HOLDINGS INC
38,507,000 $34,989,301 0.22%
CCO HLDGS LLC/CAP CORP
38,497,000 $34,854,595 0.22%
APLD COMPUTECO LLC
32,102,000 $34,667,820 0.22%
COREWEAVE INC
33,701,000 $34,388,416 0.21%
MAUSER PACKAGING SOLUT
33,844,000 $34,255,990 0.21%
CCO HLDGS LLC/CAP CORP
34,467,000 $34,134,745 0.21%
NISSAN MOTOR CO
35,967,000 $33,685,584 0.21%
CCO HLDGS LLC/CAP CORP
38,318,000 $33,609,932 0.21%
VENTURE GLOBAL LNG INC
32,055,000 $33,387,616 0.21%
ALLIED UNIVERSAL HOLDCO
31,347,000 $32,768,000 0.20%
CONNECT HOLDING II LLC
32,101,000 $32,685,046 0.20%
STAPLES INC
34,330,000 $32,673,663 0.20%
BEACH ACQUISITION BIDCO
29,474,048 $32,594,937 0.20%
UKG INC
33,066,000 $32,490,099 0.20%
ATHENAHEALTH GROUP INC
33,388,000 $32,176,650 0.20%
LEVEL 3 FINANCING INC
31,027,000 $32,100,652 0.20%
QXO BUILDING PRODUCTS
31,473,000 $32,042,620 0.20%
TRANSDIGM INC
31,535,000 $31,950,250 0.20%
NRG ENERGY INC
32,117,000 $31,910,118 0.20%
MEDLINE BORROWER LP
31,642,000 $31,631,242 0.20%
ECHOSTAR CORP
30,539,633 $31,226,057 0.19%