ETF:GHYB | ETF Holdings Page 8 | Goldman Sachs Access High Yield Corporate Bond ETF

GHYB ETF holdings Page 8

Weights reproduce the dated portfolio and may not sum to exactly 100% because of cash, derivatives, rounding, liabilities, or other positions. Provenance stays internal.

Snapshot fieldReported value
FundGoldman Sachs Access High Yield Corporate Bond ETF
Report date2026-02-28
Reported holdings929
SEC series IDS000057842

Positions 701–800 of 929

TickerIssuerWeightValue (USD)Balance
FICOFair Isaac Corporation0.06289%85,586.2587,000 PA
RHP HOTEL PROPERTIES LPRHP HOTEL PROPERTIES LP0.062576%85,159.3885,000 PA
Adapthealth LlcAdapthealth Llc0.062481%85,03088,000 PA
Gray Media Inc.Gray Media Inc.0.062251%84,717.5103,000 PA
MACY'S RETAIL HOLDINGS LLCMACY'S RETAIL HOLDINGS LLC0.06211%84,525115,000 PA
UWN Holdings LLCUWN Holdings LLC0.062108%84,521.8885,000 PA
MAGNMagnera Corp.0.061586%83,812.590,000 PA
Sabre GLBL Inc.Sabre GLBL Inc.0.061582%83,806.25115,000 PA
NWLNewell Brands Inc.0.061256%83,362.595,000 PA
BHCBausch Health Companies Inc.0.060994%83,006.2595,000 PA
GAPThe Gap Inc.0.060972%82,976.2587,000 PA
NRGNRG Energy, Inc.0.060328%82,10080,000 PA
XPLR Infrastructure Operating Partners LPXPLR Infrastructure Operating Partners LP0.060299%82,061.2579,000 PA
FCFSFirstcash Inc0.060154%81,863.7579,000 PA
MACY'S RETAIL HOLDINGS LLCMACY'S RETAIL HOLDINGS LLC0.06013%81,83098,000 PA
Crescent Energy Finance LLCCrescent Energy Finance LLC0.059961%81,60080,000 PA
The Chemours Company LLCThe Chemours Company LLC0.059955%81,592.586,000 PA
GrafTech Global Enterprises Inc.GrafTech Global Enterprises Inc.0.05952%81,000135,000 PA
ICAHN ENTERPRISES LPICAHN ENTERPRISES LP0.059024%80,32584,000 PA
LUMNLumen Technologies Inc0.058946%80,218.7585,000 PA
Sabre GLBL Inc.Sabre GLBL Inc.0.058904%80,162.5110,000 PA
COGENT COMMUNICATIONS GROUP LLCCOGENT COMMUNICATIONS GROUP LLC0.058776%79,987.590,000 PA
Northern Oil And Gas, Inc.Northern Oil And Gas, Inc.0.058359%79,42076,000 PA
Freedom Mortgage Holdings LLCFreedom Mortgage Holdings LLC0.057977%78,90080,000 PA
TROXTronox Incorporated0.057683%78,50080,000 PA
Neptune BidCo US Inc.Neptune BidCo US Inc.0.057536%78,30080,000 PA
SMSM Energy Co.0.057423%78,146.2578,000 PA
Buckeye Partners LPBuckeye Partners LP0.057384%78,093.7585,000 PA
Discovery Communications, LLCDiscovery Communications, LLC0.057029%77,61078,000 PA
Station Casinos LLCStation Casinos LLC0.056874%77,40080,000 PA
EPCEdgewell Personal Care Co0.056722%77,192.577,000 PA
QQnity Electronics Inc.0.056489%76,87575,000 PA
BHCBausch Health Companies Inc.0.056029%76,250100,000 PA
Cinemark USA Inc.Cinemark USA Inc.0.055985%76,19076,000 PA
VSATViaSat, Inc.0.055846%76,00076,000 PA
Harvest Midstream I LPHarvest Midstream I LP0.0558%75,937.575,000 PA
The Chemours Company LLCThe Chemours Company LLC0.0558%75,937.575,000 PA
SMGThe Scotts Miracle-Gro Company0.055772%75,90080,000 PA
OLNOlin Corporation0.055386%75,37575,000 PA
Crescent Energy Finance LLCCrescent Energy Finance LLC0.055384%75,372.573,000 PA
NCR Voyix CorporationNCR Voyix Corporation0.054938%74,76576,000 PA
Navient CorporationNavient Corporation0.054812%74,593.7577,000 PA
EPCEdgewell Personal Care Co0.0546%74,30577,000 PA
Resideo Funding Inc.Resideo Funding Inc.0.05459%74,291.4577,000 PA
MEOHMethanex Corporation0.054386%74,013.7581,000 PA
MAGNMagnera Corp.0.054284%73,87575,000 PA
COGENT COMMUNICATIONS GROUP LLCCOGENT COMMUNICATIONS GROUP LLC0.054215%73,781.2575,000 PA
OLNOlin Corporation0.05394%73,406.2575,000 PA
FUNSix Flags Entertainment Corp.0.05356%72,89074,000 PA
Xerox Corp.Xerox Corp.0.053182%72,375100,000 PA
Park River Holdings IncPark River Holdings Inc0.053113%72,281.2575,000 PA
Kohl's Corp.Kohl's Corp.0.052972%72,090108,000 PA
K Hovnanian Enterprises IncK Hovnanian Enterprises Inc0.052851%71,92570,000 PA
AVIS BUDGET CAR RENTAL LLCAVIS BUDGET CAR RENTAL LLC0.052568%71,54073,000 PA
Topbuild CorporationTopbuild Corporation0.052144%70,962.570,000 PA
OneMain Financial CorporationOneMain Financial Corporation0.051906%70,638.7569,000 PA
POSTPost Holdings Inc.0.051591%70,21068,000 PA
DANDana Inc.0.051495%70,08073,000 PA
FXI Holdings IncFXI Holdings Inc0.051253%69,750120,000 PA
NOVA Chemicals Corp.NOVA Chemicals Corp.0.051046%69,468.7565,000 PA
Light & Wonder International Inc.Light & Wonder International Inc.0.050525%68,758.7567,000 PA
JANE STREET GROUP LLCJANE STREET GROUP LLC0.050525%68,758.7567,000 PA
Sinclair Television Group, Inc.Sinclair Television Group, Inc.0.049302%67,09584,000 PA
Goodyear Tire & Rubber Co. TheGoodyear Tire & Rubber Co. The0.048093%65,45068,000 PA
Rogers Communications Inc.Rogers Communications Inc.0.047942%65,243.7565,000 PA
ANTERO MIDSTREAM PARTNERS LPANTERO MIDSTREAM PARTNERS LP0.047822%65,081.2565,000 PA
Sinclair Television Group, Inc.Sinclair Television Group, Inc.0.047674%64,878.7573,000 PA
Central Parent LLC / CDK Global II LLC / CDK Financing Co.Central Parent LLC / CDK Global II LLC / CDK Financing Co.0.04712%64,125100,000 PA
Freedom Mortgage CorporationFreedom Mortgage Corporation0.047028%64,00064,000 PA
SUNSUNOCO LP0.046927%63,862.565,000 PA
MEOHMethanex Corporation0.046014%62,62062,000 PA
Buckeye Partners LPBuckeye Partners LP0.046004%62,606.2563,000 PA
Gray Media Inc.Gray Media Inc.0.045962%62,55060,000 PA
HUB International Ltd.HUB International Ltd.0.045541%61,976.2563,000 PA
BLDRBuilders Firstsource, Inc.0.045411%61,80060,000 PA
The Chemours Company LLCThe Chemours Company LLC0.045025%61,27560,000 PA
Paramount GlobalParamount Global0.044843%61,027.2777,000 PA
Perrigo Finance Unlimited Co.Perrigo Finance Unlimited Co.0.044768%60,924.0562,000 PA
GoEasy LimitedGoEasy Limited0.044557%60,637.570,000 PA
Nissan Motor Acceptance Co LLCNissan Motor Acceptance Co LLC0.044205%60,158.2458,000 PA
Jones Deslauriers Insurance Management Inc.Jones Deslauriers Insurance Management Inc.0.04418%60,12565,000 PA
Artera Services LLCArtera Services LLC0.043846%59,67072,000 PA
iHeartCommunications InciHeartCommunications Inc0.043795%59,60080,000 PA
PRIMO WATER HOLDINGS INCPRIMO WATER HOLDINGS INC0.043482%59,17560,000 PA
Seagate Data Storage Technology Pte. Ltd.Seagate Data Storage Technology Pte. Ltd.0.043464%59,15056,000 PA
Kinetik Holdings LPKinetik Holdings LP0.043205%58,797.558,000 PA
VSATViaSat, Inc.0.042974%58,483.7559,000 PA
NCR Voyix CorporationNCR Voyix Corporation0.042703%58,11559,000 PA
Global Infrastructure Solutions Inc.Global Infrastructure Solutions Inc.0.042688%58,093.7555,000 PA
QVC, Inc.QVC, Inc.0.042532%57,881.25135,000 PA
Graphic Packaging International LLCGraphic Packaging International LLC0.042526%57,873.7561,000 PA
Newfold Digital Holdings Group Inc.Newfold Digital Holdings Group Inc.0.042408%57,712.590,000 PA
CNXCNX Resources Corporation0.042385%57,681.2555,000 PA
UNITI SERVICES LLCUNITI SERVICES LLC0.042183%57,406.2555,000 PA
ACRISURE LLCACRISURE LLC0.041989%57,142.557,000 PA
ENSEnerSys0.04188%56,993.7555,000 PA
Iron Mountain Information Management Servces IncIron Mountain Information Management Servces Inc0.041394%56,332.558,000 PA
FXI Holdings IncFXI Holdings Inc0.041333%56,25060,000 PA
SEALED AIR CORPSEALED AIR CORP0.041267%56,16054,000 PA
NWLNewell Brands Inc.0.041243%56,127.1856,000 PA

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