ETF:HYLB | ETF Holdings Page 12 | Xtrackers USD High Yield Corporate Bond ETF

Companies included in HYLB Page 12

This is HYLB'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 1,101–1,200 of 1,257.

TickerIssuerShares ownedUnitReported weight
Medco Maple Tree Pte Ltd.Medco Maple Tree Pte Ltd.1,472,000PA0.04122%
FMCFMC Corp.1,727,000PA0.041097%
CHS/Community Health Systems IncCHS/Community Health Systems Inc1,530,000PA0.041088%
CITIBANK NACITIBANK NA1,552,000PA0.041083%
NOVA Chemicals Corp.NOVA Chemicals Corp.1,452,000PA0.040993%
BXMTBlackstone Mortgage Trust, Inc1,424,000PA0.040915%
Williams Scotsman Inc.Williams Scotsman Inc.1,465,000PA0.040791%
Navient CorporationNavient Corporation1,625,000PA0.040771%
RLJ Lodging Trust LPRLJ Lodging Trust LP1,577,000PA0.04067%
OUTFRONT MEDIA CAPITAL LLC (CBS OUTDOOR AMERICAS CAPITAL LLC)OUTFRONT MEDIA CAPITAL LLC (CBS OUTDOOR AMERICAS CAPITAL LLC)1,535,000PA0.0406%
Sinclair Television Group, Inc.Sinclair Television Group, Inc.1,689,000PA0.04059%
VICTRA HOLDINGS LLCVICTRA HOLDINGS LLC1,429,000PA0.040482%
MIWD HOLDCO II LLCMIWD HOLDCO II LLC1,602,000PA0.040474%
Sealed Air Corp. / Sealed Air Corp. USSealed Air Corp. / Sealed Air Corp. US1,452,000PA0.040313%
AVIS BUDGET CAR RENTAL LLCAVIS BUDGET CAR RENTAL LLC1,527,000PA0.040217%
MAGNMagnera Corp.1,602,000PA0.040127%
Mattamy Group CorpMattamy Group Corp1,511,000PA0.040092%
ACRISURE LLCACRISURE LLC1,587,000PA0.039933%
CALUMET SPECIALTY PRODUCTS PARTNERS LPCALUMET SPECIALTY PRODUCTS PARTNERS LP1,390,000PA0.039914%
Williams Scotsman International IncWilliams Scotsman International Inc1,485,000PA0.039874%
Arches Buyer IncArches Buyer Inc1,567,000PA0.039871%
FMG Resources (August 2006) Pty Ltd.FMG Resources (August 2006) Pty Ltd.1,434,000PA0.039816%
GLPGLOBAL PARTNERS LP1,424,000PA0.03976%
ION PLATFORM FINANCE US INCION PLATFORM FINANCE US INC1,586,000PA0.039735%
Aretec Group Inc.Aretec Group Inc.1,486,000PA0.039731%
Williams Scotsman Inc.Williams Scotsman Inc.1,408,000PA0.03973%
Marriott Ownership Resorts IncMarriott Ownership Resorts Inc1,527,000PA0.039724%
EPCEdgewell Personal Care Co1,527,000PA0.039721%
BCOBrinks Company1,421,000PA0.039646%
Nordstrom, Inc.Nordstrom, Inc.1,527,000PA0.039637%
LEVILevi Strauss & Co.1,567,000PA0.039629%
BBWIBath & Body Works Inc1,462,000PA0.039612%
SMGThe Scotts Miracle-Gro Company1,550,000PA0.039572%
Metinvest B.V.Metinvest B.V.1,635,000PA0.039556%
Arbor Realty Senior IncorporatedArbor Realty Senior Incorporated1,590,000PA0.039504%
Central Garden & Pet CompanyCentral Garden & Pet Company1,515,000PA0.039411%
Studio City Finance LimitedStudio City Finance Limited1,456,000PA0.039251%
STSensata Technologies Inc1,484,000PA0.039248%
Sealed Air Corp.Sealed Air Corp.1,440,000PA0.039125%
Adient Global Holdings LtdAdient Global Holdings Ltd1,420,000PA0.039025%
Cogent Communications Group LLCCogent Communications Group LLC1,474,000PA0.039007%
Nordstrom, Inc.Nordstrom, Inc.1,550,000PA0.03893%
Match Group Holdings II LLCMatch Group Holdings II LLC1,585,000PA0.03877%
FMCFMC Corp.1,635,000PA0.03868%
CRLCharles River Laboratories International, Inc.1,515,000PA0.038559%
XPOXPO Inc1,368,000PA0.038373%
NOVA Chemicals Corp.NOVA Chemicals Corp.1,331,000PA0.038337%
Millicom International Cellular SAMillicom International Cellular SA1,374,000PA0.038319%
Hilton Domestic Operating Co Inc.Hilton Domestic Operating Co Inc.1,374,000PA0.038288%
Arbor Realty Senior IncorporatedArbor Realty Senior Incorporated1,442,000PA0.037821%
EHCEncompass Health Corporation1,421,000PA0.037609%
Lamar Media Corp.Lamar Media Corp.1,391,000PA0.037586%
Sealed Air Corp.Sealed Air Corp.1,398,000PA0.037572%
MEDCO CYPRESS TREE PTE LTDMEDCO CYPRESS TREE PTE LTD1,321,000PA0.03751%
CRCCalifornia Resources Corporation1,366,000PA0.037492%
MACY'S RETAIL HOLDINGS LLCMACY'S RETAIL HOLDINGS LLC1,378,000PA0.037418%
SVCService Properties Trust1,384,000PA0.037388%
Graphic Packaging International LLCGraphic Packaging International LLC1,424,000PA0.037318%
Diversified Healthcare TrustDiversified Healthcare Trust1,527,000PA0.037234%
SEALED AIR CORPSEALED AIR CORP1,324,000PA0.037069%
Goodyear Tire & Rubber Co. TheGoodyear Tire & Rubber Co. The1,443,000PA0.037022%
OI European Group B.V.OI European Group B.V.1,421,000PA0.0369%
INEOS Finance PLCINEOS Finance PLC1,478,000PA0.036898%
ACHCAcadia Healthcare Company, Inc.1,374,000PA0.036864%
Hudson Pacific Properties LPHudson Pacific Properties LP1,535,000PA0.036833%
SVCService Properties Trust1,431,000PA0.036786%
CABOCable One Inc1,967,000PA0.036723%
Seagate Data Storage Technology Pte. Ltd.Seagate Data Storage Technology Pte. Ltd.1,386,000PA0.036647%
Ggam Finance Ltd.Ggam Finance Ltd.1,336,000PA0.036646%
Garda World Security CorporationGarda World Security Corporation1,327,000PA0.036628%
STWDStarwood Property Trust, Inc.1,321,000PA0.03654%
LADLithia Motors Incorporated1,351,000PA0.036431%
Prestige Brands, Inc.Prestige Brands, Inc.1,352,000PA0.036419%
Seagate Data Storage Technology Pte. Ltd.Seagate Data Storage Technology Pte. Ltd.1,311,000PA0.036375%
ASHAshland Inc.1,464,000PA0.036363%
Motion Bondco Designated Activity CompanyMotion Bondco Designated Activity Company1,422,000PA0.036307%
Brandywine Operating Partnership L.P.Brandywine Operating Partnership L.P.1,374,000PA0.036307%
BWXTBWX Technologies Inc.1,359,000PA0.036284%
ENTGEntegris Inc1,351,000PA0.036216%
ION PLATFORM FINANCE US INCION PLATFORM FINANCE US INC1,433,000PA0.036204%
ABGAsbury Automotive Group, Inc.1,359,000PA0.036049%
SMGThe Scotts Miracle-Gro Company1,402,000PA0.036031%
Hess Midstream Operations LPHess Midstream Operations LP1,321,000PA0.035872%
TransAlta CorporationTransAlta Corporation1,321,000PA0.035826%
ANYWHERE REAL ESTATE GROUP LLCANYWHERE REAL ESTATE GROUP LLC1,400,000PA0.035699%
SMGThe Scotts Miracle-Gro Company1,338,000PA0.035677%
Jefferson Capital Holdings LLCJefferson Capital Holdings LLC1,253,000PA0.035656%
ABGAsbury Automotive Group, Inc.1,327,000PA0.035641%
Team Health Holdings Inc.Team Health Holdings Inc.1,313,000PA0.035627%
Owens Brockway Glass Container Inc.Owens Brockway Glass Container Inc.1,315,000PA0.035475%
United States Steel CorporationUnited States Steel Corporation1,317,000PA0.035439%
ACAArcosa Inc1,331,000PA0.035341%
Nissan Motor Acceptance Co LLCNissan Motor Acceptance Co LLC1,301,000PA0.035306%
Under Armour, Inc.Under Armour, Inc.1,261,000PA0.035167%
AMC Networks IncAMC Networks Inc1,272,000PA0.035127%
BWXTBWX Technologies Inc.1,331,000PA0.035126%
GoEasy LimitedGoEasy Limited1,508,000PA0.035065%
LGIHLGI Homes Inc1,322,000PA0.034951%
PEBBLEBROOK HOTEL LPPEBBLEBROOK HOTEL LP1,271,000PA0.034933%
TROXTronox Incorporated1,316,000PA0.034836%

SEC N-PORT snapshot as of .

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