ETF:SJNK | ETF Holdings Page 2 | State Street(R) SPDR Bloomberg Short Term High Yield Bond ETF

SJNK ETF holdings Page 2

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
FundState Street(R) SPDR Bloomberg Short Term High Yield Bond ETF
Report date2026-03-31
Reported holdings1,152
SEC series IDS000036414

Positions 101–200 of 1,152

TickerIssuerWeightValue (USD)Balance
IRMIRON MOUNTAIN INC0.180815%8,537,278.268,373,000 PA
VISTRA OPERATIONS CO LLCVISTRA OPERATIONS CO LLC0.180799%8,536,487.788,537,000 PA
PRIME HEALTHCARE SERVICEPRIME HEALTHCARE SERVICE0.180175%8,507,047.928,207,000 PA
CHS/COMMUNITY HEALTH SYSCHS/COMMUNITY HEALTH SYS0.179887%8,493,441.59,014,000 PA
DIRECTV FINANCING LLCDIRECTV FINANCING LLC0.178945%8,448,981.758,475,000 PA
CHART INDUSTRIES INCCHART INDUSTRIES INC0.178038%8,406,144.458,091,000 PA
NISSAN MOTOR ACCEPTANCENISSAN MOTOR ACCEPTANCE0.177515%8,381,465.828,554,000 PA
ONEMAIN FINANCE CORPONEMAIN FINANCE CORP0.177207%8,366,891.768,328,000 PA
UNIVISION COMMUNICATIONSUNIVISION COMMUNICATIONS0.176983%8,356,317.668,221,000 PA
VMED O2 UK FINANVMED O2 UK FINAN0.176961%8,355,301.389,738,000 PA
ALTICE FRANCE SAALTICE FRANCE SA0.176373%8,327,518.658,234,632 PA
SCIH SALT HOLDINGS INCSCIH SALT HOLDINGS INC0.175958%8,307,942.288,404,000 PA
DELEK LOG PART/FINANCEDELEK LOG PART/FINANCE0.172738%8,155,878.87,880,000 PA
LCPR SR SECURED FIN DACLCPR SR SECURED FIN DAC0.172718%8,154,966.412,080,000 PA
MINERAL RESOURCES LTDMINERAL RESOURCES LTD0.172574%8,148,157.567,929,000 PA
SMYRNA READY MIX CONCRETSMYRNA READY MIX CONCRET0.172557%8,147,327.18,206,000 PA
DARDARLING INGREDIENTS INC0.172369%8,138,473.078,144,500 PA
EQPTEQUIPMENTSHARE.COM INC0.172314%8,135,863.67,880,000 PA
FRONTIER COMMUNICATIONSFRONTIER COMMUNICATIONS0.172021%8,122,062.68,101,000 PA
SIRIUS XM RADIO LLCSIRIUS XM RADIO LLC0.171905%8,116,574.18,129,500 PA
TERRAFORM POWER OPERATINTERRAFORM POWER OPERATIN0.171487%8,096,846.258,425,000 PA
CHS/COMMUNITY HEALTH SYSCHS/COMMUNITY HEALTH SYS0.171333%8,089,578.429,317,000 PA
CRWVCOREWEAVE INC0.17132%8,088,947.868,317,000 PA
HRIHERC HOLDINGS INC0.170226%8,037,276.727,832,000 PA
HILTON GRAND VAC LLC/INCHILTON GRAND VAC LLC/INC0.169446%8,000,442.678,417,000 PA
IRMIRON MOUNTAIN INC0.169252%7,991,289.68,035,000 PA
GLOBAL AIR LEASE CO LTDGLOBAL AIR LEASE CO LTD0.168835%7,971,604.277,861,000 PA
NGL ENRGY OP/FIN CORPNGL ENRGY OP/FIN CORP0.167707%7,918,342.97,681,000 PA
HLF FIN SARL LLC/HERBALIHLF FIN SARL LLC/HERBALI0.166758%7,873,559.27,384,000 PA
TRANSOCEAN INTERNTNL LTDTRANSOCEAN INTERNTNL LTD0.165305%7,804,934.877,490,700 PA
NATIONAL MENTOR HOLDINGSNATIONAL MENTOR HOLDINGS0.164411%7,762,710.97,518,000 PA
ALBION FINANCING 1SARL /ALBION FINANCING 1SARL /0.164263%7,755,731.57,610,000 PA
CCO HLDGS LLC/CAP CORPCCO HLDGS LLC/CAP CORP0.163986%7,742,656.88,296,000 PA
CLEAR CHANNEL OUTDOOR HOCLEAR CHANNEL OUTDOOR HO0.163732%7,730,668.47,378,000 PA
CELANESE US HOLDINGS LLCCELANESE US HOLDINGS LLC0.163341%7,712,229.357,385,000 PA
COHRCOHERENT CORP0.162193%7,658,031.857,805,000 PA
CCO HLDGS LLC/CAP CORPCCO HLDGS LLC/CAP CORP0.160372%7,572,015.718,323,000 PA
WAYFAIR LLCWAYFAIR LLC0.15934%7,523,292.517,363,000 PA
THCTENET HEALTHCARE CORP0.158377%7,477,819.47,417,000 PA
MIDAS OPCO HOLDINGS LLCMIDAS OPCO HOLDINGS LLC0.157938%7,457,118.297,823,000 PA
NRGNRG ENERGY INC0.157555%7,439,031.057,505,000 PA
ALLIANT HOLD / CO-ISSUERALLIANT HOLD / CO-ISSUER0.15753%7,437,8357,375,000 PA
1011778 BC / NEW RED FIN1011778 BC / NEW RED FIN0.157309%7,427,406.897,387,000 PA
HERTZ CORP/THEHERTZ CORP/THE0.157001%7,412,8478,450,000 PA
DISH DBS CORPDISH DBS CORP0.155994%7,365,344.667,594,000 PA
EW SCRIPPS COEW SCRIPPS CO0.155069%7,321,631.247,532,000 PA
MPT OPER PARTNERSP/FINLMPT OPER PARTNERSP/FINL0.154047%7,273,396.627,806,000 PA
ZF NA CAPITALZF NA CAPITAL0.153915%7,267,155.847,407,000 PA
DISCOVERY HOLDINGS INCDISCOVERY HOLDINGS INC0.153%7,223,952.287,466,000 PA
STUDIO CITY FINANCE LTDSTUDIO CITY FINANCE LTD0.152615%7,205,788.687,692,000 PA
FORTESCUE TREASURY PTY LFORTESCUE TREASURY PTY L0.151738%7,164,393.67,228,000 PA
TOUCAN FINCO LTD/CAN/USTOUCAN FINCO LTD/CAN/US0.150997%7,129,376.718,167,461 PA
MGM RESORTS INTLMGM RESORTS INTL0.150489%7,105,420.357,035,000 PA
AETHON UN/AETHIN UN FINAETHON UN/AETHIN UN FIN0.149634%7,065,027.756,765,000 PA
OUTFRONT MEDIA CAP LLC/COUTFRONT MEDIA CAP LLC/C0.149504%7,058,900.17,070,000 PA
HRIHERC HOLDINGS INC0.149489%7,058,164.086,941,000 PA
VENTURE GLOBAL LNG INCVENTURE GLOBAL LNG INC0.149458%7,056,711.146,899,000 PA
FERTITTA ENTERTAINMENTFERTITTA ENTERTAINMENT0.149158%7,042,563.27,360,000 PA
CELANESE US HOLDINGS LLCCELANESE US HOLDINGS LLC0.14898%7,034,154.166,764,000 PA
SMCSUMMIT MIDSTREAM HOLDING0.148888%7,029,818.256,825,000 PA
SERVICE CORP INTLSERVICE CORP INTL0.148346%7,004,223.27,580,000 PA
US ACUTE CARE SOLUTIONSUS ACUTE CARE SOLUTIONS0.14825%6,999,692.227,206,000 PA
TRANSDIGM INCTRANSDIGM INC0.148238%6,999,101.257,125,000 PA
MINERAL RESOURCES LTDMINERAL RESOURCES LTD0.148215%6,998,051.776,751,748 PA
VERITIV OPERATING COVERITIV OPERATING CO0.147966%6,986,287.926,728,000 PA
MRPMILLROSE PROPERTIES INC0.147316%6,955,596.486,944,000 PA
FRONTIER COMMUNICATIONSFRONTIER COMMUNICATIONS0.147023%6,941,773.86,899,000 PA
TROXTRONOX INC0.146735%6,928,172.248,648,000 PA
RR DONNELLEY & SONS CORR DONNELLEY & SONS CO0.146569%6,920,3326,808,000 PA
SC GAMES HOLDIN/US FINCOSC GAMES HOLDIN/US FINCO0.145512%6,870,410.167,948,000 PA
ROCKETMTGE CO-ISSUER INCROCKETMTGE CO-ISSUER INC0.14534%6,862,269.126,944,000 PA
ALLWYN ENTERTAINMENT FINALLWYN ENTERTAINMENT FIN0.14501%6,846,728.166,704,000 PA
ACRISURE LLC / FIN INCACRISURE LLC / FIN INC0.144627%6,828,631.746,902,000 PA
TNLTRAVEL + LEISURE CO0.143984%6,798,266.376,791,000 PA
PBF HOLDING CO LLCPBF HOLDING CO LLC0.143505%6,775,656.26,794,000 PA
BAUSCH HEALTH COS INCBAUSCH HEALTH COS INC0.143252%6,763,679.286,612,000 PA
CSC HOLDINGS LLCCSC HOLDINGS LLC0.143232%6,762,78018,000,000 PA
BALLBALL CORP0.143217%6,762,060.966,654,000 PA
CELANESE US HOLDINGS LLCCELANESE US HOLDINGS LLC0.141621%6,686,673.66,560,000 PA
CHS/COMMUNITY HEALTH SYSCHS/COMMUNITY HEALTH SYS0.141418%6,677,130.66,951,000 PA
TELENET FINANCE LUX NOTETELENET FINANCE LUX NOTE0.141329%6,672,924.86,800,000 PA
TRANSDIGM INCTRANSDIGM INC0.141323%6,672,603.156,507,000 PA
ELANELANCO ANIMAL HEALTH INC0.141142%6,664,074.66,499,000 PA
AAR ESCROW ISSUER LLCAAR ESCROW ISSUER LLC0.140891%6,652,227.846,528,000 PA
NCR ATLEOS LLCNCR ATLEOS LLC0.140735%6,644,856.966,208,000 PA
BREAKWATER ENRGY HOLDBREAKWATER ENRGY HOLD0.140278%6,623,295.356,265,000 PA
SUNSUNOCO LP0.140151%6,617,286.556,823,000 PA
CINEMARK USA INCCINEMARK USA INC0.14014%6,616,758.786,663,000 PA
NISSAN MOTOR ACCEPTANCENISSAN MOTOR ACCEPTANCE0.139951%6,607,858.56,507,000 PA
SABRE GLBL INCSABRE GLBL INC0.13984%6,602,601.037,719,000 PA
WESCO DISTRIBUTION INCWESCO DISTRIBUTION INC0.139152%6,570,107.446,533,000 PA
CLARIV SCI HLD CORPCLARIV SCI HLD CORP0.137748%6,503,836.016,889,000 PA
MADISON IAQ LLCMADISON IAQ LLC0.137698%6,501,457.026,618,000 PA
FREEDOM MORTGAGE HOLDFREEDOM MORTGAGE HOLD0.13764%6,498,7266,409,000 PA
HILCORP ENERGY I/HILCORPHILCORP ENERGY I/HILCORP0.137368%6,485,896.926,668,000 PA
BROOKFIELD PPTY REIT INCBROOKFIELD PPTY REIT INC0.137268%6,481,170.966,504,000 PA
LIFEPOINT HEALTH INCLIFEPOINT HEALTH INC0.137123%6,474,317.366,013,000 PA
TKC HOLDINGS INCTKC HOLDINGS INC0.137101%6,473,295.816,429,000 PA
ILIAD HOLDING SASILIAD HOLDING SAS0.137036%6,470,229.16,431,000 PA
SABRE GLBL INCSABRE GLBL INC0.136827%6,460,340.047,623,000 PA

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