Xtrackers U.S. HY BB-B ex Financials ETF logo

Xtrackers U.S. HY BB-B ex Financials ETF (BHYB)

Market Closed
17 Jul, 20:00
BATS BATS
$
54. 04
-0.01
-0.013%
$
1.17B Market Cap
1.25% Div Yield
100 Volume
$ 54.05
Previous Close
Investors:
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Day Range
54.04 54.04
Year Range
53.33 54.99
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Summary

BHYB closed yesterday lower at $54.04, a decrease of -0.013% from Thursday's close, completing a monthly decrease of -0.0869% or -$0.05. Over the past 12 months, BHYB stock lost -0.9113%.
BHYB pays dividends to its shareholders, with the most recent payment made on Jul 09, 2026. The next estimated payment will be in In 3 weeks on Aug 09, 2026 for a total of $0.285.
The stock of the company had never split.
The company's stock is traded on 3 different exchanges and in various currencies, with the primary listing on BATS (USD).

BHYB Chart

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Xtrackers U.S. HY BB-B ex Financials ETF Investors

Name Quantity Cost Value Profit ($) Gain (%)
David Graham
David Graham American Family Investments, Inc.
35.02M $1.89B $1.89B $1.53M 0.08%

Xtrackers U.S. HY BB-B ex Financials ETF (BHYB) FAQ

What is the stock price today?

The current price is $54.04.

On which exchange is it traded?

Xtrackers U.S. HY BB-B ex Financials ETF is listed on BATS.

What is its stock symbol?

The ticker symbol is BHYB.

Does it pay dividends? What is the current yield?

Yes, It pays dividends and the current yield is 1.25%.

What is its market cap?

As of today, the market cap is 1.17B.

Has Xtrackers U.S. HY BB-B ex Financials ETF ever had a stock split?

No, there has never been a stock split.

Xtrackers U.S. HY BB-B ex Financials ETF Profile

BATS Exchange
US Country

Overview

The fund operates with a focus on investing in U.S. dollar-denominated, below investment-grade corporate debt, employing a passive or indexing investment strategy aimed at mirroring the performance of its underlying index, before accounting for fees and expenses. This underlying index is a specialized segment of the ICE BofA U.S. High Yield Index, crafted to reflect the performance of high yield (also known as “junk”) bonds issued within the U.S. domestic market. It's important to note that the fund takes a non-diversified approach to its investments, which means it may invest more heavily in a smaller number of issues or sectors, potentially increasing its risk and volatility.

Products and Services

  • Passive or Indexing Investment Approach

    This product refers to the fund’s strategy of replicating the performance of its underlying index, aiming to achieve almost the same return as the index before fees and expenses. This approach is based on the belief that it is difficult and often more costly to attempt to beat the market through active management. The fund seeks to minimize costs and maintain portfolio stability by closely following the index.

  • Investment in Below Investment Grade Corporate Debt

    The fund specifically targets U.S. dollar-denominated, below investment-grade corporate debt, commonly known as high yield or junk bonds. These securities are issued by companies that are considered to carry a greater risk of default compared to more highly rated, investment-grade bonds. The appeal of these bonds lies in their potential to offer higher yields, compensating investors for the increased risk of default.

  • Concentration in the U.S. Domestic Market

    This aspect of the fund’s strategy focuses on investing solely within the U.S. domestic market. It means that all the debt instruments the fund invests in are issued by companies that are registered in the United States and are denominated in U.S. dollars. This approach can provide investors with exposure to the U.S. economy and its corporate debt market, while also avoiding the risks and complexities associated with foreign currency transactions.

  • Non-Diversified Fund Status

    As a non-diversified fund, this investment vehicle does not spread its investments across as many securities or sectors as a diversified fund might. This can lead to higher volatility and risk, as the fund’s performance may be more significantly impacted by the performance of a single investment or a small number of investments. However, this strategy also offers the potential for higher returns if the fund’s specific investments perform well.

Contact Information

Address: 875 Third Avenue
Phone: 2122505883