ETF:SHYL | ETF Holdings Page 2 | Xtrackers Short Duration High Yield Bond ETF

Companies included in SHYL Page 2

This is SHYL'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 101–200 of 810.

TickerIssuerShares ownedUnitReported weight
Bausch Plus Lomb Corp.Bausch Plus Lomb Corp.457,000PA0.183845%
National Mentor Holdings IncNational Mentor Holdings Inc475,000PA0.183663%
ICAHN ENTERPRISES LPICAHN ENTERPRISES LP480,000PA0.183463%
Gray Media Inc.Gray Media Inc.438,000PA0.182165%
NCL Corporation Ltd.NCL Corporation Ltd.460,000PA0.180327%
Air CanadaAir Canada462,000PA0.179305%
Freedom Mortgage Holdings LLCFreedom Mortgage Holdings LLC442,000PA0.179131%
MRPMillrose Properties Inc.450,000PA0.179109%
CHS/Community Health Systems IncCHS/Community Health Systems Inc477,000PA0.178849%
Teva Pharmaceutical Finance Netherlands III B.V.Teva Pharmaceutical Finance Netherlands III B.V.444,000PA0.178788%
Vistra Operations Co LLCVistra Operations Co LLC464,000PA0.178081%
Wesco Distribution, Inc.Wesco Distribution, Inc.455,000PA0.177825%
CZRCaesars Entertainment Inc.464,000PA0.176138%
ITT Holdings LLCITT Holdings LLC467,000PA0.176051%
EG Global Finance PLCEG Global Finance PLC421,000PA0.175601%
CCOClear Channel Outdoor Holdings Inc.428,000PA0.175502%
Discovery Communications, LLCDiscovery Communications, LLC455,000PA0.175473%
Sirius Xm Radio IncSirius Xm Radio Inc451,000PA0.175172%
CCLCarnival Corporation444,000PA0.17471%
CDI ESCROW ISSUER INCCDI ESCROW ISSUER INC442,000PA0.172848%
Talen Energy Supply LLCTalen Energy Supply LLC422,000PA0.172686%
BALLBall Corporation477,000PA0.172136%
VMED O2 UK Financing I PLCVMED O2 UK Financing I PLC503,000PA0.172123%
Vistra Operations Co LLCVistra Operations Co LLC443,000PA0.171795%
Block IncBlock Inc437,000PA0.171757%
Aramark Services, Inc.Aramark Services, Inc.442,000PA0.171537%
Venture Global Calcasieu Pass LLCVenture Global Calcasieu Pass LLC460,000PA0.170996%
NWLNewell Brands Inc.418,000PA0.170691%
1011778 B.C. ULC1011778 B.C. ULC427,000PA0.170372%
LifePoint Health, IncLifePoint Health, Inc401,000PA0.169071%
Smyrna Ready Mix Concrete LLCSmyrna Ready Mix Concrete LLC434,000PA0.168636%
TransDigm, Inc.TransDigm, Inc.434,000PA0.167884%
ROCKET MORTGAGE LLCROCKET MORTGAGE LLC437,000PA0.167497%
Hertz Corp.Hertz Corp.466,000PA0.166744%
CRKComstock Resources, Inc.429,000PA0.165824%
Tegna IncTegna Inc427,000PA0.165522%
CSC Holdings, LLCCSC Holdings, LLC501,000PA0.164891%
Verde Purchaser LLCVerde Purchaser LLC395,000PA0.164067%
Melco Resorts Finance LimitedMelco Resorts Finance Limited431,000PA0.163383%
TKC Holdings Inc.TKC Holdings Inc.410,000PA0.162812%
Kioxia Holdings Corp.Kioxia Holdings Corp.403,000PA0.162387%
Fortress Transportation & Infrastructure Investors LLCFortress Transportation & Infrastructure Investors LLC417,000PA0.161971%
CSC Holdings, LLCCSC Holdings, LLC660,000PA0.16193%
IQVIqvia Inc415,000PA0.161057%
EQPTEquipmentshare Com Inc.395,000PA0.160614%
CHS/Community Health Systems IncCHS/Community Health Systems Inc466,000PA0.159935%
LYVLive Nation Entertainment, Inc.409,000PA0.159444%
W. R. Grace Holdings LlcW. R. Grace Holdings Llc428,000PA0.159119%
CCOClear Channel Outdoor Holdings Inc.403,000PA0.157466%
SMSM ENERGY COMPANY383,000PA0.15727%
IQVIqvia Inc406,000PA0.157174%
Belron U.K Finance PLCBelron U.K Finance PLC396,000PA0.157044%
Madison IAQ LLCMadison IAQ LLC405,000PA0.156786%
FERTITTA ENTERTAINMENT LLCFERTITTA ENTERTAINMENT LLC428,000PA0.156664%
WarnerMedia Holdings Inc.WarnerMedia Holdings Inc.405,000PA0.156659%
R.R. Donnelley & Sons Co.R.R. Donnelley & Sons Co.391,000PA0.156369%
Nexstar Media Inc.Nexstar Media Inc.405,000PA0.156361%
GFLGFL Environmental Inc.383,000PA0.155947%
AETHON UNITED BR LPAETHON UNITED BR LP382,000PA0.155889%
Wynn Resorts Finance Llc / Wynn Resorts Capital CorpWynn Resorts Finance Llc / Wynn Resorts Capital Corp372,000PA0.155842%
Studio City Finance LimitedStudio City Finance Limited415,000PA0.155724%
ALLIED UNIVERSAL HOLDCO LLCALLIED UNIVERSAL HOLDCO LLC385,000PA0.155471%
USACUSA COMPRESSION PARTNERS LP386,000PA0.154729%
CCO Holdings, LLC/ CCO Holdings Capital Corp.CCO Holdings, LLC/ CCO Holdings Capital Corp.396,000PA0.153758%
ALLIED UNIVERSAL HOLDCO LLCALLIED UNIVERSAL HOLDCO LLC399,000PA0.153653%
AXONAxon Enterprise Inc383,000PA0.153426%
DKLDELEK LOGISTICS PARTNERS LP376,000PA0.152298%
VSNTVERSANT MEDIA GROUP INC383,000PA0.152075%
Uniti Service LLC/ Uniti Group Finance 2019 Inc/CSL Capital LLCUniti Service LLC/ Uniti Group Finance 2019 Inc/CSL Capital LLC401,000PA0.15136%
STANDARD BUILDING SOLUTIONS INCSTANDARD BUILDING SOLUTIONS INC422,000PA0.15118%
Celanese US Holdings LlcCelanese US Holdings Llc365,000PA0.151008%
IRMIron Mountain Inc.400,000PA0.149711%
AMC Networks IncAMC Networks Inc359,000PA0.149364%
Clearway Energy Operating LLCClearway Energy Operating LLC386,000PA0.149253%
SCIH Salt Holdings Inc.SCIH Salt Holdings Inc.385,000PA0.148822%
U S Acute Care Solutions LLCU S Acute Care Solutions LLC383,000PA0.148738%
PG&E CorporationPG&E Corporation383,000PA0.148716%
Univision Communications Inc.Univision Communications Inc.400,000PA0.147257%
STANDARD INDUSTRIES LTDSTANDARD INDUSTRIES LTD380,000PA0.146982%
Star Parent Inc.Star Parent Inc.373,000PA0.146974%
Midas Opco Holdings LLCMidas Opco Holdings LLC410,000PA0.146688%
CCOClear Channel Outdoor Holdings Inc.374,000PA0.146253%
OneMain Financial CorporationOneMain Financial Corporation369,000PA0.146244%
Venture Global Calcasieu Pass LLCVenture Global Calcasieu Pass LLC365,000PA0.146239%
ACRISURE LLCACRISURE LLC370,000PA0.146085%
CCLCarnival Corporation364,000PA0.14607%
UALUnited Airlines Holdings Inc373,000PA0.146034%
IRMIron Mountain Inc.376,000PA0.145825%
PFGCPERFORMANCE FOOD GROUP CO383,000PA0.145822%
CRCCalifornia Resources Corporation358,000PA0.145812%
DARDarling Ingredients, Inc370,000PA0.145397%
Nissan Motor Co Ltd.Nissan Motor Co Ltd.355,000PA0.145313%
BYDBoyd Gaming Corporation375,000PA0.145286%
NOVA Chemicals Corp.NOVA Chemicals Corp.372,000PA0.145132%
ADT Security Corp.ADT Security Corp.383,000PA0.145017%
Ziggo B.V.Ziggo B.V.394,000PA0.144098%
ICAHN ENTERPRISES LPICAHN ENTERPRISES LP375,000PA0.14376%
LCM Investments Holdings II LLCLCM Investments Holdings II LLC375,000PA0.143646%
HOWDEN UK REFINANCE PLCHOWDEN UK REFINANCE PLC365,000PA0.143554%
DISH DBS CorporationDISH DBS Corporation383,000PA0.143427%

SEC N-PORT snapshot as of .

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