ETF:GIGB | ETF Holdings Page 13 | Goldman Sachs Access Investment Grade Corporate Bond ETF

Companies included in GIGB Page 13

This is GIGB's own dated portfolio constitution. Share counts are the calculation basis for constituent revenue and earnings analytics; rounded weights are reference values only. This page shows positions 1,201–1,300 of 2,269.

TickerIssuerShares ownedUnitReported weight
WELLTOWER OP LLCWELLTOWER OP LLC276,000PA0.029979%
Burlington Northern Santa Fe LLCBurlington Northern Santa Fe LLC379,000PA0.029913%
NINiSource Inc.300,000PA0.029895%
MDC HOLDINGS INCMDC HOLDINGS INC388,000PA0.029853%
Novartis Capital CorporationNovartis Capital Corporation265,000PA0.029844%
DTE Electric Co.DTE Electric Co.300,000PA0.029838%
Comcast CorporationComcast Corporation249,000PA0.029807%
COKECoca-Cola Consolidated Inc250,000PA0.029799%
Corebridge Financial Inc.Corebridge Financial Inc.279,000PA0.029792%
The Toronto-Dominion BankThe Toronto-Dominion Bank260,000PA0.029781%
ORealty Income Corporation269,000PA0.029772%
FEFirstEnergy Corp.378,000PA0.029745%
PSXPhillips 66 Co.260,000PA0.029707%
Comcast CorporationComcast Corporation340,000PA0.029691%
PSXPhillips 66290,000PA0.029682%
American Honda Finance CorporationAmerican Honda Finance Corporation262,000PA0.029656%
SPGIS&P Global Inc250,000PA0.029609%
VZVerizon Communications Inc.311,000PA0.029598%
Berkshire Hathaway Energy CompanyBerkshire Hathaway Energy Company240,000PA0.029508%
McDonald's Corp.McDonald's Corp.300,000PA0.0295%
Woodside Finance Ltd.Woodside Finance Ltd.261,000PA0.029456%
Wells Fargo & Co.Wells Fargo & Co.263,000PA0.029453%
Unilever Capital CorporationUnilever Capital Corporation250,000PA0.029418%
Citibank, N.A.Citibank, N.A.250,000PA0.029399%
FISFidelity National Information Services Inc275,000PA0.029382%
WELLS FARGO & COWELLS FARGO & CO250,000PA0.02937%
JPMorgan Chase & Co.JPMorgan Chase & Co.250,000PA0.029322%
Boston Properties LPBoston Properties LP250,000PA0.029298%
EQIXEquinix, Inc.270,000PA0.029289%
Wells Fargo & Co.Wells Fargo & Co.254,000PA0.029277%
SPECTRUM MANAGEMENT HOLDING COMPANY LLCSPECTRUM MANAGEMENT HOLDING COMPANY LLC329,000PA0.029196%
SHWThe Sherwin-Williams Company300,000PA0.029164%
NOCNorthrop Grumman Corporation268,000PA0.029109%
OCOwens Corning250,000PA0.029086%
Prudential Financial, Inc.Prudential Financial, Inc.282,000PA0.029048%
CCICrown Castle Inc.260,000PA0.029046%
FRBPFranklin Bsp Capital Corp.250,000PA0.029032%
BP Capital Markets America, Inc.BP Capital Markets America, Inc.330,000PA0.028984%
HSYHershey Co. (The)250,000PA0.028952%
McDonald's Corp.McDonald's Corp.296,000PA0.028918%
CNACNA Financial Corporation245,000PA0.028871%
Dominion Energy South Carolina IncDominion Energy South Carolina Inc280,000PA0.028809%
VVisa Inc274,000PA0.028737%
AVAAvista Corporation327,000PA0.028681%
AVYAvery Dennison Corporation250,000PA0.028633%
Energy Transfer LPEnergy Transfer LP259,000PA0.028602%
CHARTER COMMUNICATIONS OPERATING LLCCHARTER COMMUNICATIONS OPERATING LLC274,000PA0.028572%
The Allstate CorporationThe Allstate Corporation242,000PA0.028561%
MAINMain Street Capital Corp.250,000PA0.028511%
Berkshire Hathaway Energy CompanyBerkshire Hathaway Energy Company300,000PA0.028464%
Morgan Stanley Bank, National Association (Utah)Morgan Stanley Bank, National Association (Utah)250,000PA0.028442%
CommonSpirit HealthCommonSpirit Health310,000PA0.028406%
KOCoca-Cola Co (The)422,000PA0.028383%
Golub Capital Private Credit FundGolub Capital Private Credit Fund250,000PA0.028345%
CNCCentene Corp.258,000PA0.02833%
MSFTMicrosoft Corp.400,000PA0.028316%
KVUEKenvue Inc.270,000PA0.028314%
Lennar Corp.Lennar Corp.250,000PA0.028304%
ANAutoNation, Inc.240,000PA0.028269%
PHParker-Hannifin Corp.250,000PA0.028247%
GMGeneral Motors Company232,000PA0.028236%
CRMSalesforce Inc.411,000PA0.028224%
MOAltria Group, Inc.256,000PA0.028205%
ABBVAbbVie Inc.266,000PA0.028173%
Verisign, Inc.Verisign, Inc.245,000PA0.02811%
McDonald's Corp.McDonald's Corp.251,000PA0.028108%
VMware LLCVMware LLC263,000PA0.028087%
BAMBrookfield Asset Management Ltd250,000PA0.028066%
Morgan StanleyMorgan Stanley250,000PA0.02803%
HDHome Depot Inc.284,000PA0.027994%
Hess CorporationHess Corporation248,000PA0.027951%
Voya Financial IncVoya Financial Inc250,000PA0.027906%
Novartis Capital CorporationNovartis Capital Corporation250,000PA0.027898%
AVGOBroadcom Inc322,000PA0.027825%
MOSThe Mosaic Company240,000PA0.027808%
TWDC ENTERPRISES 18 CORPTWDC ENTERPRISES 18 CORP290,000PA0.027794%
ING Groep N.V.ING Groep N.V.250,000PA0.02778%
Duke Energy CorpDuke Energy Corp250,000PA0.027765%
ELVElevance Health Inc.268,000PA0.027718%
Public Service Company of ColoradoPublic Service Company of Colorado290,000PA0.027712%
AT&T IncAT&T Inc293,000PA0.027647%
Comcast CorporationComcast Corporation472,000PA0.027646%
Novartis Capital CorporationNovartis Capital Corporation248,000PA0.027595%
ZTSZoetis Inc.265,000PA0.027587%
Shell International Finance B.V.Shell International Finance B.V.300,000PA0.027576%
University of Southern California (The)University of Southern California (The)253,000PA0.027574%
Athene Holding LtdAthene Holding Ltd250,000PA0.027535%
Oracle Corp.Oracle Corp.376,000PA0.027532%
Kaiser Foundation HospitalsKaiser Foundation Hospitals364,000PA0.027526%
Comcast CorporationComcast Corporation356,000PA0.027491%
IBMInternational Business Machines Corp.300,000PA0.02748%
Albemarle CorpAlbemarle Corp243,000PA0.027467%
Duke Energy CorpDuke Energy Corp350,000PA0.027457%
COSTCostco Wholesale Corporation278,000PA0.027449%
NFLXNetflix, Inc.227,000PA0.027395%
JBS USA HOLDING LUX SARLJBS USA HOLDING LUX SARL218,000PA0.027389%
Comcast CorporationComcast Corporation242,000PA0.027386%
AAPLApple Inc.272,000PA0.027381%
Baker Hughes Holdings LLCBaker Hughes Holdings LLC300,000PA0.027356%
Morgan StanleyMorgan Stanley230,000PA0.02735%

SEC N-PORT snapshot as of .

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