GHYB

Goldman Sachs Access High Yield Corporate Bond ETF

Down$49.29
$-0.34
(-0.69%)
As of 9:04:00 PM EDT | 1/27/20  |  Market Closed

GHYB Trading Data

Open

$49.33

Low Price

$49.29

High Price

$49.4

Previous Last Price

$49.63

Bid Size

$0 X 0

Ask Size

$0 X 0

GHYB Portfolio Data

AUM

$77,236,500

Shares

1,550

PE Ratio

0

Price / Book Ratio

Expense Ratio

0.34

Net Asset Value

$49.83

Volume

Volume

5,600

Avg. Volume (YDT)

5,094

Dollar Volume

$703,253

Weekly Avg. Volume

3,540

Monthly Avg. Volume

4,915

Quarterly Avg. Volume

5,900

GHYB Fund Description

The Goldman Sachs Access High Yield Corporate Bond ETF seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Citi Goldman Sachs High Yield Corporate Bond Index.

GHYB Chart

GHYB Summary

Fund Family

Goldman Sachs

Tracks This Index

Goldman Sachs Access High Yield Corporate Bond ETF

Inception Date

2017-09-05

Asset Class

Fixed Income

Asset Class Size

Income

GHYB Classification

Region (General)

Global

Region (Specific)

Sector

Equity Index

Leveraged Family

GHYB Holdings

Top 10 Holdings

GS TRUST - GS FINANCIAL S (FGTXX)
1.01%
TRANSDIGM INC. (TDG)
0.84%
FREEPORT-MCMORAN INC. (FCX)
0.83%
TENET HEALTHCARE CORPORAT (THC)
0.77%
POST HOLDINGS INC. (POST)
0.76%
TRANSDIGM INC. (TDG)
0.76%
CCO HOLDINGS LLC (CHTR)
0.73%
HCA INC (HCA)
0.69%
CCO HOLDINGS LLC (CHTR)
0.68%
CSC HOLDINGS LLC (CSCHLD)
0.67%

Total GHYB Holdings

Total Holdings: 434

GS TRUST - GS FINANCIAL S (FGTXX)
1.01%
TRANSDIGM INC. (TDG)
0.84%
FREEPORT-MCMORAN INC. (FCX)
0.83%
TENET HEALTHCARE CORPORAT (THC)
0.77%
POST HOLDINGS INC. (POST)
0.76%
TRANSDIGM INC. (TDG)
0.76%
CCO HOLDINGS LLC (CHTR)
0.73%
HCA INC (HCA)
0.69%
CCO HOLDINGS LLC (CHTR)
0.68%
CSC HOLDINGS LLC (CSCHLD)
0.67%
BAUSCH HEALTH AMERICAS IN (BHCCN)
0.65%
T-MOBILE USA INC. (TMUS)
0.61%
CIT GROUP INC. (CIT)
0.6%
VISTRA OPERATIONS COMPANY (VST)
0.58%
1011778 B.C. UNLIMITED LI (BCULC)
0.57%
JBS INVESTMENTS II GMBH (JBSSBZ)
0.57%
SAFEWAY INC. (ACI)
0.56%
DAVITA INC. (DVA)
0.55%
HANESBRANDS INC. (HBI)
0.55%
CALPINE CORPORATION (CPN)
0.54%
MATTEL INC. (MAT)
0.54%
TARGA RESOURCES PARTNERS (NGLS)
0.53%
BAUSCH HEALTH COMPANIES I (BHCCN)
0.52%
DISH DBS CORPORATION (DISH)
0.52%
NEXTERA ENERGY OPERATING (NEP)
0.5%
SIX FLAGS ENTERTAINMENT C (SIX)
0.5%
UNIVISION COMMUNICATIONS (UVN)
0.49%
SIRIUS XM RADIO INC. (SIRI)
0.48%
ENERGIZER HOLDINGS INC. (ENR)
0.47%
STAPLES INC. (SPLS)
0.47%
FRONTIER COMMUNICATIONS C (FTR)
0.46%
SPRINT CORPORATION (S)
0.46%
BWAY HOLDING COMPANY (BWY)
0.45%
T-MOBILE USA INC. (TMUS)
0.45%
CCO HOLDINGS LLC (CHTR)
0.44%
CIT GROUP INC. (CIT)
0.44%
SPRINT CORPORATION (S)
0.44%
ARAMARK SERVICES INC. (ARMK)
0.43%
CSC HOLDINGS LLC (CSCHLD)
0.43%
DISH DBS CORPORATION (DISH)
0.43%
MGM RESORTS INTERNATIONAL (MGM)
0.43%
SPRINGLEAF FINANCE CORPOR (AMGFIN)
0.43%
SPRINT CORPORATION (S)
0.43%
TENET HEALTHCARE CORPORAT (THC)
0.43%
BOMBARDIER INC. (BBDBCN)
0.42%
CHS/COMMUNITY HEALTH SYST (CYH)
0.42%
CLEAR CHANNEL WORLDWIDE H (CCO)
0.42%
HILTON DOMESTIC OPERATING (HILDOC)
0.42%
NETFLIX INC. (NFLX)
0.42%
SPRINT CORPORATION (S)
0.42%
TESLA INC. (TSLA)
0.42%
GOLDEN NUGGET INC. (NUGGET)
0.41%
HCA INC (HCA)
0.41%
SPRINGLEAF FINANCE CORPOR (AMGFIN)
0.41%
BOYD GAMING CORPORATION (BYD)
0.4%
CHS/COMMUNITY HEALTH SYST (CYH)
0.4%
IHEARTCOMMUNICATIONS INC (IHRT)
0.4%
SAFEWAY INC. (ACI)
0.4%
TENET HEALTHCARE CORPORAT (THC)
0.4%
HCA INC (HCA)
0.39%
SPRINT CAPITAL CORPORATIO (S)
0.39%
CABLEVISION SYSTEMS CORPO (CVC)
0.38%
ENLINK MIDSTREAM PARTNERS (ENLK)
0.38%
JBS USA LUX S.A. (JBSSBZ)
0.38%
NOVA CHEMICALS CORPORATIO (NCX)
0.38%
1011778 B.C. UNLIMITED LI (BCULC)
0.37%
CROWNROCK L.P. (CRROCK)
0.37%
IRON MOUNTAIN INCORPORATE (IRM)
0.37%
QUICKEN LOANS INC. (QUICKN)
0.37%
BALL CORPORATION (BLL)
0.36%
BAUSCH HEALTH COMPANIES I (BHCCN)
0.36%
CSC HOLDINGS LLC (CSCHLD)
0.36%
ICAHN ENTERPRISES L.P. (IEP)
0.36%
LENNAR CORPORATION (LEN)
0.36%
OPEN TEXT CORPORATION (OTEXCN)
0.36%
UNITED RENTALS (NORTH AME (URI)
0.36%
WYNN LAS VEGAS LLC (WYNNLV)
0.36%
BAUSCH HEALTH COMPANIES I (BHCCN)
0.35%
BERRY GLOBAL INC. (BERY)
0.35%
DISH DBS CORPORATION (DISH)
0.35%
SPRINGLEAF FINANCE CORPOR (AMGFIN)
0.35%
UNITED RENTALS (NORTH AME (URI)
0.35%
VIDEOTRON LTD. (QBRCN)
0.35%
BALL CORPORATION (BLL)
0.34%
NETFLIX INC. (NFLX)
0.34%
SPRINT CAP (S)
0.34%
UNITED RENTALS (NORTH AME (URI)
0.34%
CALPINE CORPORATION (CPN)
0.33%
ENDEAVOR ENERGY RESOURCES (ENDENR)
0.33%
INFOR (US) INC. (LWSN)
0.33%
NAVISTAR INTERNATIONAL CO (NAV)
0.33%
PARSLEY ENERGY LLC (PARSLY)
0.33%
SENSATA TECHNOLOGIES B.V. (ST)
0.33%
CCO HOLDINGS LLC (CHTR)
0.32%
ICAHN ENTERPRISES L.P. (IEP)
0.32%
JBS USA LUX S.A. (JBSSBZ)
0.32%
KFC HOLDING CO. (YUM)
0.32%
NETFLIX INC. (NFLX)
0.32%
SPRINGLEAF FINANCE CORPOR (AMGFIN)
0.32%
VERSCEND ESCROW CORP (VCVHHO)
0.32%
ACRISURE LLC (ACRISU)
0.31%
AMERICAN TRAILER WORLD CO (BIGTEX)
0.31%
BAUSCH HEALTH AMERICAS IN (BHCCN)
0.31%
HOLOGIC INC. (HOLX)
0.31%
NAVIENT CORPORATION (NAVI)
0.31%
NGL ENERGY PARTNERS LP (NGL)
0.31%
PULTEGROUP INC. (PHM)
0.31%
SOLERA LLC (SLH)
0.31%
SPRINT COMMUNICATIONS IN (S)
0.31%
SPRINT CORPORATION (S)
0.31%
STAPLES INC. (SPLS)
0.31%
TARGA RESOURCES PARTNERS (NGLS)
0.31%
TEMPUR SEALY INTERNATIONA (TPX)
0.31%
TENET HEALTHCARE CORPORAT (THC)
0.31%
VIASAT INC (VSAT)
0.31%
CLARIOS GLOBAL LP (POWSOL)
0.3%
CSC HOLDINGS LLC (CSCHLD)
0.3%
ESH HOSPITALITY INC. (STAY)
0.3%
HUB INTERNATIONAL LIMITED (HBGCN)
0.3%
JAGUAR HOLDING COMPANY II (PPDI)
0.3%
RITE AID CORPORATION (RAD)
0.3%
SM ENERGY COMPANY (SM)
0.3%
TERRAFORM POWER OPERATING (TERP)
0.3%
CAESARS RESORT COLLECTION (CGPHLC)
0.29%
ENDEAVOR ENERGY RESOURCES (ENDENR)
0.29%
NETFLIX INC. (NFLX)
0.29%
PILGRIMS PRIDE CORPORATI (PPC)
0.29%
TENET HEALTHCARE CORPORAT (THC)
0.29%
ASCENT RESOURCES UTICA HO (ASCRES)
0.28%
CSC HOLDINGS LLC (CSCHLD)
0.28%
CSC HOLDINGS LLC (CSCHLD)
0.28%
FRONTIER COMMUNICATIONS C (FTR)
0.28%
FRONTIER COMMUNICATIONS C (FTR)
0.28%
IQVIA INC. (IQV)
0.28%
NBM US HOLDINGS INC (MRFGBZ)
0.28%
NETFLIX INC. (NFLX)
0.28%
NRG ENERGY INC. (NRG)
0.28%
REYNOLDS GROUP ISSUER INC (REYNOL)
0.28%
UNIVISION COMMUNICATIONS (UVN)
0.28%
USA COMPRESSION PARTNERS (USAC)
0.28%
AECOM (ACM)
0.27%
ANTERO RESOURCES CORPORAT (AR)
0.27%
BOMBARDIER INC. (BBDBCN)
0.27%
CCO HOLDINGS LLC (CHTR)
0.27%
CDW LLC (CDWC)
0.27%
DISH DBS CORPORATION (DISH)
0.27%
GRIFFON CORPORATION (GFF)
0.27%
NATIONSTAR MORTGAGE HOLDI (NSM)
0.27%
NRG ENERGY INC. (NRG)
0.27%
PETSMART INC. (PETM)
0.27%
RACKSPACE HOSTING INC. (RAX)
0.27%
REFINITIV US HOLDINGS IN (FINRSK)
0.27%
SEVEN GENERATIONS ENERGY (VIICN)
0.27%
TRANSOCEAN INC. (RIG)
0.27%
VICI PROPERTIES LP / VICI (VICI)
0.27%
AMERIGAS PARTNERS L.P. (APU)
0.26%
L BRANDS INC. (LB)
0.26%
SENSATA TECHNOLOGIES B.V. (ST)
0.26%
TALEN ENERGY SUPPLY LLC (TLN)
0.26%
BWAY HOLDING COMPANY (BWY)
0.25%
CCO HOLDINGS LLC (CHTR)
0.25%
CLARIOS GLOBAL LP (POWSOL)
0.25%
ICAHN ENTERPRISES L.P. (IEP)
0.25%
JBS USA LUX S.A. (JBSSBZ)
0.25%
KENNEDY-WILSON INC. (KW)
0.25%
MEG ENERGY CORP (MEGCN)
0.25%
NAVIENT CORPORATION (NAVI)
0.25%
PRIME SECURITY SERVICES B (PRSESE)
0.25%
REFINITIV US HOLDINGS IN (FINRSK)
0.25%
REGIONALCARE HOSPITAL PAR (RGCARE)
0.25%
WHITING PETROLEUM CORPORA (WLL)
0.25%
ADIENT GLOBAL HOLDINGS LT (ADNT)
0.24%
BAUSCH HEALTH COMPANIES I (BHCCN)
0.24%
DISH DBS CORPORATION (DISH)
0.24%
HOWARD HUGHES CORPORATION (HHC)
0.24%
TENET HEALTHCARE CORPORAT (THC)
0.24%
TRANSOCEAN PROTEUS LTD (RIG)
0.24%
VISTRA OPERATIONS COMPANY (VST)
0.24%
BOMBARDIER INC. (BBDBCN)
0.23%
DELL INTERNATIONAL L.L.C. (DELL)
0.23%
DENBURY RESOURCES INC. (DNR)
0.23%
HCA INC (HCA)
0.23%
LAMAR MEDIA CORP. (LAMR)
0.23%
CHS/COMMUNITY HEALTH SYST (CYH)
0.22%
CSC HOLDINGS LLC (CSCHLD)
0.22%
DELL INTERNATIONAL L.L.C. (DELL)
0.22%
HERC HOLDINGS INC. (HRI)
0.22%
HILTON WORLDWIDE FINANCE (HLT)
0.22%
IHEARTCOMMUNICATIONS INC (IHRT)
0.22%
MPH ACQUISITION HOLDINGS (MLTPLN)
0.22%
MSCI INC. (MSCI)
0.22%
POST HOLDINGS INC. (POST)
0.22%
SEALED AIR CORPORATION (SEE)
0.22%
SPECTRUM BRANDS INC. (SPB)
0.22%
T-MOBILE USA INC. (TMUS)
0.22%
UBER TECHNOLOGIES INC. (UBER)
0.22%
ALLY FINANCIAL INC. (ALLY)
0.21%
CLEAR CHANNEL WORLDWIDE H (CCO)
0.21%
CROWN AMERICAS LLC / CROW (CCK)
0.21%
ENDO FINANCE LLC (ENDP)
0.21%
FRONTIER COMMUNICATIONS C (FTR)
0.21%
LIVE NATION ENTERTAINMENT (LYV)
0.21%
MEREDITH CORPORATION (MDP)
0.21%
NOVELIS CORPORATION (HNDLIN)
0.21%
PAR PHARMACEUTICAL INC (ENDP)
0.21%
SABRE GLBL INC. (SABHLD)
0.21%
SBA COMMUNICATIONS CORPOR (SBAC)
0.21%
SCIENTIFIC GAMES INTERNAT (SGMS)
0.21%
SCIENTIFIC GAMES INTERNAT (SGMS)
0.21%
UBER TECHNOLOGIES INC. (UBER)
0.21%
ALLIED UNIVERSAL HOLDCO L (UNSEAM)
0.2%
CHANGE HEALTHCARE HOLDING (EM)
0.2%
CNX RESOURCES CORPORATION (CNX)
0.2%
ENDO FINANCE LLC (ENDP)
0.2%
HERTZ CORPORATION (THE) (HTZ)
0.2%
LENNAR CORPORATION (LEN)
0.2%
NAVIENT CORPORATION (NAVI)
0.2%
PETSMART INC. (PETM)
0.2%
SIRIUS XM RADIO INC. (SIRI)
0.2%
SIRIUS XM RADIO INC. (SIRI)
0.2%
TEGNA INC. (TGNA)
0.2%
TRANSOCEAN POSEIDON LIMIT (RIG)
0.2%
ZAYO GROUP LLC (ZAYOGR)
0.2%
ZAYO GROUP LLC (ZAYOGR)
0.2%
ADT SECURITY CORPORATION (ADT)
0.19%
AMERIGAS PARTNERS L.P. (APU)
0.19%
CDK GLOBAL INC. (CDK)
0.19%
CRESTWOOD MIDSTREAM PARTN (CMLP)
0.19%
HCA INC (HCA)
0.19%
IRON MOUNTAIN INCORPORATE (IRM)
0.19%
LAMB WESTON HOLDINGS INC (LW)
0.19%
LIONS GATE CAPITAL HOLDIN (LGF)
0.19%
MGM RESORTS INTERNATIONAL (MGM)
0.19%
POST HOLDINGS INC. (POST)
0.19%
TARGA RESOURCES PARTNERS (NGLS)
0.19%
US DOLLAR (USD)
0.19%
ADT SECURITY CORPORATION (ADT)
0.18%
CLEARWAY ENERGY OPERATING (CWENA)
0.18%
HCA INC (HCA)
0.18%
MALLINCKRODT INTERNATIONA (MNK)
0.18%
MGM RESORTS INTERNATIONAL (MGM)
0.18%
PULTEGROUP INC. (PHM)
0.18%
T-MOBILE USA INC. (TMUS)
0.18%
VERTIV GROUP CORPORATION (CORTNP)
0.18%
ALLISON TRANSMISSION INC (ALSN)
0.17%
BALL CORPORATION (BLL)
0.17%
BAUSCH HEALTH COMPANIES I (BHCCN)
0.17%
BOMBARDIER INC. (BBDBCN)
0.17%
BOMBARDIER INC. (BBDBCN)
0.17%
COVANTA HOLDING CORPORATI (CVA)
0.17%
FERRELLGAS L.P. (FGP)
0.17%
FLEX ACQUISITION COMPANY (FLXACQ)
0.17%
IRON MOUNTAIN INCORPORATE (IRM)
0.17%
MGM RESORTS INTERNATIONAL (MGM)
0.17%
MSCI INC. (MSCI)
0.17%
SERVICE CORPORATION INTER (SCI)
0.17%
SOUTHWESTERN ENERGY COMPA (SWN)
0.17%
TOLL BROTHERS FINANCE COR (TOL)
0.17%
AMC NETWORKS INC. (AMCX)
0.16%
CHS/COMMUNITY HEALTH SYST (CYH)
0.16%
CHS/COMMUNITY HEALTH SYST (CYH)
0.16%
HARLAND CLARKE HOLDINGS C (HARCLA)
0.16%
HILTON WORLDWIDE FINANCE (HLT)
0.16%
IRON MOUNTAIN INCORPORATE (IRM)
0.16%
KFC HOLDING CO. (YUM)
0.16%
NRG ENERGY INC. (NRG)
0.16%
OUTFRONT MEDIA CAPITAL LL (OUT)
0.16%
REGIONALCARE HOSPITAL PAR (RGCARE)
0.16%
T-MOBILE USA INC. (TMUS)
0.16%
T-MOBILE USA INC. (TMUS)
0.16%
TALLGRASS ENERGY PARTNERS (TEP)
0.16%
TOLL BROTHERS FINANCE COR (TOL)
0.16%
TRANSOCEAN INC. (RIG)
0.16%
ZAYO GROUP LLC (ZAYOGR)
0.16%
BALL CORPORATION (BLL)
0.15%
CBL & ASSOCIATES LIMITED (CBL)
0.15%
CHS/COMMUNITY HEALTH SYST (CYH)
0.15%
HUGHES SATELLITE SYSTEMS (SATS)
0.15%
NABORS INDUSTRIES INC. (NBR)
0.15%
NETFLIX INC. (NFLX)
0.15%
POLARIS INTERMEDIATE CORP (MLTHCO)
0.15%
SOUTHWESTERN ENERGY COMPA (SWN)
0.15%
ACRISURE LLC (ACRISU)
0.14%
APX GROUP INC. (APXSEC)
0.14%
BAUSCH HEALTH COMPANIES I (BHCCN)
0.14%
CALIFORNIA RESOURCES CORP (CRC)
0.14%
CCO HOLDINGS LLC (CHTR)
0.14%
CDW LLC (CDWC)
0.14%
COVANTA HOLDING CORPORATI (CVA)
0.14%
CRESTWOOD MIDSTREAM PARTN (CMLP)
0.14%
CROWN AMERICAS LLC (CCK)
0.14%
DIAMOND RESORTS INTERNATI (DRII)
0.14%
ENCOMPASS HEALTH CORPORAT (EHC)
0.14%
FREEDOM MORTGAGE CORPORAT (FREMOR)
0.14%
FREEPORT-MCMORAN INC. (FCX)
0.14%
GFL ENVIRONMENTAL INC. (GFLENV)
0.14%
HILCORP ENERGY I L.P. (HILCRP)
0.14%
HUGHES SATELLITE SYSTEMS (SATS)
0.14%
MEG ENERGY CORP (MEGCN)
0.14%
NETFLIX INC. (NFLX)
0.14%
PARKLAND FUEL CORPORATION (PKICN)
0.14%
PETSMART INC. (PETM)
0.14%
PRESTIGE BRANDS INC. (PBH)
0.14%
REYNOLDS GROUP ISSUER INC (REYNOL)
0.14%
RYMAN HOSPITALITY PROPERT (RHP)
0.14%
SIRIUS XM RADIO INC. (SIRI)
0.14%
TENET HEALTHCARE CORPORAT (THC)
0.14%
TERRAFORM POWER OPERATING (TERP)
0.14%
TRANSDIGM INC. (TDG)
0.14%
UBER TECHNOLOGIES INC. (UBER)
0.14%
UNITED RENTALS (NORTH AME (URI)
0.14%
WOLVERINE ESCROW LLC (WAIR)
0.14%
WYNDHAM DESTINATIONS INC (WYND)
0.14%
WYNN RESORTS LIMITED (WYNFIN)
0.14%
ALLISON TRANSMISSION INC (ALSN)
0.13%
AMERICAN BUILDERS & CONTR (ABCSUP)
0.13%
CALPINE CORPORATION (CPN)
0.13%
COMSTOCK RESOURCES INC. (CRK)
0.13%
DUN & BRADSTREET CORPORAT (DNB)
0.13%
FRESH MARKET INC. (THE) (TFM)
0.13%
HILCORP ENERGY I L.P. (HILCRP)
0.13%
MSCI INC. (MSCI)
0.13%
NAVIENT CORPORATION (NAVI)
0.13%
NEXTERA ENERGY OPERATING (NEP)
0.13%
SCIENTIFIC GAMES INTERNAT (SGMS)
0.13%
TOLL BROTHERS FINANCE COR (TOL)
0.13%
UNITED RENTALS (NORTH AME (URI)
0.13%
AMC ENTERTAINMENT HOLDING (AMC)
0.12%
BOMBARDIER INC. (BBDBCN)
0.12%
CHS/COMMUNITY HEALTH SYST (CYH)
0.12%
ENCOMPASS HEALTH CORPORAT (EHC)
0.12%
ENVISION HEALTHCARE CORPO (EVHC)
0.12%
HERTZ CORPORATION (THE) (HTZ)
0.12%
QEP RESOURCES INC. (QEP)
0.12%
TRANSDIGM INC. (TDG)
0.12%
CBL & ASSOCIATES LIMITED (CBL)
0.11%
CF INDUSTRIES INC. (CF)
0.11%
CVR PARTNERS LP (UAN)
0.11%
LIONS GATE CAPITAL HOLDIN (LGF)
0.11%
MOSS CREEK RESOURCES HOLD (MSSCRK)
0.11%
NCR CORPORATION (NCR)
0.11%
NUSTAR LOGISTICS L.P. (NSUS)
0.11%
PRIME SECURITY SERVICES B (PRSESE)
0.11%
XEROX CORPORATION (XRXCRP)
0.11%
B&G FOODS INC. (BGS)
0.1%
CEDAR FAIR L.P. (FUN)
0.1%
GUITAR CENTER INC (GTRC)
0.1%
NAVIENT CORPORATION (NAVI)
0.1%
NAVIENT CORPORATION (NAVI)
0.1%
NCR CORPORATION (NCR)
0.1%
NOVA CHEMICALS CORPORATIO (NCX)
0.1%
OPEN TEXT CORPORATION (OTEXCN)
0.1%
PDC ENERGY INC (PDCE)
0.1%
SPRINGLEAF FINANCE CORPOR (AMGFIN)
0.1%
TRANSDIGM INC. (TDG)
0.1%
WOLVERINE ESCROW LLC (WAIR)
0.1%
WPX ENERGY INC. (WPX)
0.1%
YUM] BRANDS INC (YUM)
0.1%
AMC NETWORKS INC. (AMCX)
0.09%
ANTERO MIDSTREAM PARTNERS (AM)
0.09%
BEACON ROOFING SUPPLY IN (BECN)
0.09%
BERRY GLOBAL INC. (BERY)
0.09%
CF INDUSTRIES INC. (CF)
0.09%
COMSTOCK RESOURCES INC. (CRK)
0.09%
NAVIENT CORPORATION (NAVI)
0.09%
PENSKE AUTOMOTIVE GROUP (PAG)
0.09%
QEP RESOURCES INC. (QEP)
0.09%
SABRE GLBL INC. (SABHLD)
0.09%
SEALED AIR CORPORATION (SEE)
0.09%
SERVICE CORPORATION INTER (SCI)
0.09%
TALLGRASS ENERGY PARTNERS (TEP)
0.09%
TALLGRASS ENERGY PARTNERS (TEP)
0.09%
TRANSOCEAN SENTRY LIMITED (RIG)
0.09%
ANTERO MIDSTREAM PARTNERS (AM)
0.08%
ANTERO RESOURCES CORPORAT (AR)
0.08%
ASCENT RESOURCES UTICA HO (ASCRES)
0.08%
CCO HOLDINGS LLC (CHTR)
0.08%
CHS/COMMUNITY HEALTH SYST (CYH)
0.08%
DELL INC. (DELL)
0.08%
HILTON DOMESTIC OPERATING (HILDOC)
0.08%
LABL ESCROW ISSUER LLC (WSPKHD)
0.08%
LENNAR CORPORATION (LEN)
0.08%
MOSS CREEK RESOURCES HOLD (MSSCRK)
0.08%
T-MOBILE USA INC. (TMUS)
0.08%
TALEN ENERGY SUPPLY LLC (TLN)
0.08%
WPX ENERGY INC. (WPX)
0.08%
ADT SECURITY CORPORATION (ADT)
0.07%
AVANTOR INC. (AVTR)
0.07%
CHESAPEAKE ENERGY CORPORA (CHK)
0.07%
CINEMARK USA INC. (CNK)
0.07%
CRESTWOOD MIDSTREAM PARTN (CMLP)
0.07%
LABL ESCROW ISSUER LLC (WSPKHD)
0.07%
LENNAR CORPORATION (LEN)
0.07%
MURPHY OIL CORPORATION (MUR)
0.07%
PDC ENERGY INC (PDCE)
0.07%
POST HOLDINGS INC. (POST)
0.07%
SEVEN GENERATIONS ENERGY (VIICN)
0.07%
USA COMPRESSION PARTNERS (USAC)
0.07%
VERTIV INTERMEDIATE HOLDI (CORTNP)
0.07%
AMC ENTERTAINMENT HOLDING (AMC)
0.06%
ANTERO RESOURCES CORPORAT (AR)
0.06%
FERRELLGAS L.P. (FGP)
0.06%
FLEX ACQUISITION COMPANY (FLXACQ)
0.06%
PBF LOGISTICS LP / PBF LO (PBFX)
0.06%
ANTERO RESOURCES CORPORAT (AR)
0.04%
DENBURY RESOURCES INC. (DNR)
0.04%
L BRANDS INC. (LB)
0.04%
NUSTAR LOGISTICS L.P. (NSUS)
0.04%
SIRIUS XM RADIO INC. (SIRI)
0.04%
WPX ENERGY INC. (WPX)
0.04%
LAMAR MEDIA CORP. (LAMR)
0.03%
PENSKE AUTOMOTIVE GROUP (PAG)
0.03%
ASHLAND LLC (ASH)
0.02%
BAUSCH HEALTH COMPANIES I (BHCCN)
0.02%
CCO HOLDINGS LLC (CHTR)
0.02%
CCO HOLDINGS LLC (CHTR)
0.02%
CCO HOLDINGS LLC (CHTR)
0.02%
NAVIENT CORPORATION (NAVI)
0.02%
BAUSCH HEALTH COMPANIES I (BHCCN)
0.01%
CALPINE CORPORATION (CPN)
0.01%
CCO HOLDINGS LLC (CHTR)
0.01%
CINEMARK USA INC. (CNK)
0.01%
FREEDOM MORTGAGE CORPORAT (FREMOR)
0.01%
NOVA CHEMICALS CORPORATIO (NCX)
0.01%
QUICKEN LOANS INC. (QUICKN)
0.01%
T-MOBILE USA INC. (TMUS)
0.01%
TRANSDIGM INC. (TDG)
0.01%
Goldman Sachs (GHYB)
0%
T-MOBILE US INC. (TMUS)
0%
T-MOBILE USA INC. (NO TICKER)
0%
T-MOBILE USA INC. (NO TICKER)
0%
T-MOBILE USA INC. (NO TICKER)
0%
T-MOBILE USA INC. (TMUS)
0%
T-MOBILE USA INC. (NO TICKER)
0%

GHYB Technicals

Alpha

0

Beta

0.29

Leverage

Long

Standard Deviation

0.5

GHYB Dividends

Dividend Date

2019-12-27

Latest Dividend

0.2

Annual Dividend

2.77

Annual Dividend Rate

2.77

Annual Dividend Yield

5.55

GHYB Performance

YTD Return

-0.94%

1 Year Return

3%

3 Year Return

0%

5 Year Return

0%

10 Year Return

-0.99%

GHYB Related Articles

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