ETF:GIGB | ETF Holdings Page 11 | Goldman Sachs Access Investment Grade Corporate Bond ETF

GIGB ETF holdings Page 11

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 Investment Grade Corporate Bond ETF
Report date2026-02-28
Reported holdings2,269
SEC series IDS000057838

Positions 1,001–1,100 of 2,269

TickerIssuerWeightValue (USD)Balance
Banco Santander SABanco Santander SA0.035443%315,793.56325,000 PA
AMGNAmgen Inc.0.035415%315,541.68302,000 PA
Bank of MontrealBank of Montreal0.03539%315,320.84310,000 PA
ELVElevance Health Inc.0.035355%315,008.41314,000 PA
VZVerizon Communications Inc.0.035341%314,880.48303,000 PA
WABWESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP0.035333%314,813.26316,000 PA
CHARTER COMMUNICATIONS OPERATING LLCCHARTER COMMUNICATIONS OPERATING LLC0.035321%314,702.08413,000 PA
FDXFedEx Corporation0.035252%314,091.36360,000 PA
CATCaterpillar Inc0.035242%313,997.1300,000 PA
Corning IncorporatedCorning Incorporated0.035227%313,867.3328,000 PA
AXPAmerican Express Company0.035203%313,650300,000 PA
HONHoneywell International Inc.0.035171%313,367.4300,000 PA
HCA Inc.HCA Inc.0.035141%313,100.84299,000 PA
UNPUnion Pacific Corporation0.035119%312,907.8446,000 PA
Aptiv PLC / Aptiv CorpAptiv PLC / Aptiv Corp0.035091%312,653.22330,000 PA
VVisa Inc0.035088%312,623.7352,000 PA
Banco Santander SABanco Santander SA0.035063%312,406.53310,000 PA
Vale Overseas LimitedVale Overseas Limited0.035039%312,193.74298,000 PA
General Motors Financial Company IncGeneral Motors Financial Company Inc0.035014%311,968.05300,000 PA
NSTAR Electric CompanyNSTAR Electric Company0.034978%311,643.9300,000 PA
Memorial Sloan-Kettering Cancer CenterMemorial Sloan-Kettering Cancer Center0.034969%311,571373,000 PA
Royal Bank of CanadaRoyal Bank of Canada0.034967%311,548.65300,000 PA
STLDSteel Dynamics, Inc.0.034941%311,314.65300,000 PA
BP Capital Markets America, Inc.BP Capital Markets America, Inc.0.034899%310,940.68301,000 PA
WMBWilliams Companies Inc. (The)0.03488%310,770.54270,000 PA
WABWESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP0.034867%310,657.47306,000 PA
Banco Santander SABanco Santander SA0.034839%310,404.86336,000 PA
FISVFiserv Inc.0.034819%310,232.92392,000 PA
Ipalco Enterprises Inc.Ipalco Enterprises Inc.0.034798%310,039.5300,000 PA
General Motors Financial Company IncGeneral Motors Financial Company Inc0.034772%309,807.75300,000 PA
Constellation Energy Generation LLCConstellation Energy Generation LLC0.034769%309,783300,000 PA
TRGPTarga Resources Corp.0.034763%309,733.35300,000 PA
GlaxoSmithKline Capital PLCGlaxoSmithKline Capital PLC0.034755%309,660.68314,000 PA
Fifth Third Bank National Association Cincinnati OhioFifth Third Bank National Association Cincinnati Ohio0.034732%309,458.25300,000 PA
AAPLApple Inc.0.034698%309,154.78336,000 PA
HUMHumana Inc.0.034657%308,784.6300,000 PA
Blackstone Private Credit FundBlackstone Private Credit Fund0.034637%308,607.05313,000 PA
The Connecticut Light and Power CompanyThe Connecticut Light and Power Company0.034535%307,701300,000 PA
Morgan StanleyMorgan Stanley0.034524%307,601.4300,000 PA
Bayer US Finance II LLCBayer US Finance II LLC0.034456%306,996.56392,000 PA
HSBC Holdings PLCHSBC Holdings PLC0.034326%305,840.24290,000 PA
Westpac Banking Corp.Westpac Banking Corp.0.034319%305,771.22270,000 PA
WMTWalmart Inc0.034297%305,578.47310,000 PA
PIIPolaris Inc.0.034277%305,400.3300,000 PA
HALHalliburton Company0.034239%305,061.25252,000 PA
KLACKLA Corp.0.034214%304,841.91322,000 PA
Enterprise Products Operating LLCEnterprise Products Operating LLC0.034199%304,703.45368,000 PA
AMZNAmazon.com, Inc.0.034173%304,479.11393,000 PA
Berkshire Hathaway Finance CorporationBerkshire Hathaway Finance Corporation0.034167%304,421.04323,000 PA
DISWalt Disney Company0.034073%303,585.98268,000 PA
Kinder Morgan, Inc.Kinder Morgan, Inc.0.034065%303,512.37306,000 PA
Alibaba Group Holding Ltd.Alibaba Group Holding Ltd.0.034043%303,318.38400,000 PA
VZVerizon Communications Inc.0.034036%303,253.51314,000 PA
SYYSysco Corporation0.034015%303,069.6270,000 PA
Vale Overseas LimitedVale Overseas Limited0.034003%302,960.75250,000 PA
Boston Properties LPBoston Properties LP0.033966%302,632.5300,000 PA
Unilever Capital CorporationUnilever Capital Corporation0.033953%302,512.2300,000 PA
QCOMQUALCOMM Inc.0.033946%302,449.6304,000 PA
OMCOmnicom Group Inc0.033933%302,335.65300,000 PA
Citigroup Inc.Citigroup Inc.0.033926%302,270.1300,000 PA
Bank of America Corp.Bank of America Corp.0.033916%302,186.24290,000 PA
Ford Motor CompanyFord Motor Company0.033844%301,543.22351,000 PA
HCA Inc.HCA Inc.0.033805%301,193.55315,000 PA
ORLYO'Reilly Automotive Inc.0.033788%301,048.65300,000 PA
METAMeta Platforms Inc0.033712%300,371.71290,000 PA
LDOSLeidos Inc0.033709%300,344.4300,000 PA
UNPUnion Pacific Corporation0.033708%300,332.68408,000 PA
Paramount GlobalParamount Global0.03366%299,902.95340,000 PA
Comcast CorporationComcast Corporation0.033651%299,825.86396,000 PA
Boeing Co.Boeing Co.0.033639%299,720.86300,000 PA
T-Mobile USA, Inc.T-Mobile USA, Inc.0.033622%299,562.89328,000 PA
CNQCanadian Natural Resources Limited0.033546%298,890.42299,000 PA
CNO Financial Group, Inc.CNO Financial Group, Inc.0.033546%298,885.06285,000 PA
Safehold GL Holdings LLCSafehold GL Holdings LLC0.033544%298,871.57286,000 PA
TSLXSixth Street Specialty Lending Inc0.033527%298,722.6300,000 PA
AXPAmerican Express Company0.033518%298,639.65300,000 PA
JNJJohnson & Johnson0.033468%298,190.81330,000 PA
Toll Brothers Finance Corp.Toll Brothers Finance Corp.0.033368%297,300.6300,000 PA
WCNWASTE CONNECTIONS INC0.033362%297,250.5300,000 PA
Piedmont Healthcare Inc.Piedmont Healthcare Inc.0.033326%296,923.73405,000 PA
CDW LLC / CDW Finance CorpCDW LLC / CDW Finance Corp0.033302%296,715.3300,000 PA
GMGeneral Motors Company0.03328%296,522.54290,000 PA
OTFBlue Owl Technology Finance Corp.0.033253%296,276.77310,000 PA
Kraft Heinz Foods CompanyKraft Heinz Foods Company0.033165%295,490.58296,000 PA
VVisa Inc0.033158%295,429.84302,000 PA
FISFidelity National Information Services Inc0.033102%294,930.2400,000 PA
Unum GroupUnum Group0.033093%294,853.05300,000 PA
Haleon US Capital LLC.Haleon US Capital LLC.0.033081%294,740.85300,000 PA
Toyota Motor Credit Corp.Toyota Motor Credit Corp.0.033034%294,326.21296,000 PA
MPLX LPMPLX LP0.033017%294,175.45314,000 PA
Bank of America Corp.Bank of America Corp.0.032959%293,654.74306,000 PA
Bank of America Corp.Bank of America Corp.0.032939%293,477.56322,000 PA
INTCIntel Corporation0.032937%293,460.6300,000 PA
Commonwealth Edison CompanyCommonwealth Edison Company0.032875%292,914.17285,000 PA
WELLTOWER OP LLCWELLTOWER OP LLC0.032822%292,434.26290,000 PA
FRBPFranklin Bsp Capital Corp.0.032771%291,987300,000 PA
AERCAP IRELAND CAPITAL DACAERCAP IRELAND CAPITAL DAC0.032765%291,931.05300,000 PA
PSXPhillips 660.032755%291,842.9292,000 PA
NTAPNetApp Inc.0.032746%291,762.52280,000 PA
Comcast CorporationComcast Corporation0.032724%291,566.38482,000 PA

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