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iShares BB Rated Corporate Bond ETF ETF AnalysisComprehensive ETF analysis for iShares BB Rated Corporate Bond ETF (HYBB) including NAV, expense ratio, sector breakdown, and holdings data.ETF AnalysisHYBB
HYBB
iShares BB Rated Corporate Bond ETF
HYBB
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  3. iShares BB Rated Corporate Bond ETFHYBBETF
iShares BB Rated Corporate Bond ETF Logo

iShares BB Rated Corporate Bond ETF

ETF
🇺🇸HYBB•AMEX•Fixed Income

Your view on HYBB

iShares BB Rated Corporate Bond ETF Logo

iShares BB Rated Corporate Bond ETF

ETFIShares
🇺🇸HYBB•AMEX•Fixed Income
AUM (USD)$321.72M
Expense Ratio0.25%
Holdings1,068

Sentiment

AUM (USD)

$321.72M

Expense Ratio

0.25%

Holdings

1,068

Sentiment

HYBB
iShares BB Rated Corporate Bond ETF
HYBB

Overview for iShares BB Rated Corporate Bond ETF

Fund Type
ETF
Fund Issuer
IShares
Asset Class
Fixed Income
Sector
Financial Services
Industry
Asset Management
Inception Date
October 5, 2020
Domicile
US
Website
ishares.com/us/products/305259/ishares-bb-rated-corporate-bond-etf
Fund Type
ETF
Fund Issuer
IShares
Asset Class
Fixed Income
Sector
Financial Services
Industry
Asset Management
Inception Date
October 5, 2020
Domicile
US
Website
ishares.com/us/products/305259/ishares-bb-rated-corporate-bond-etf
Fund Type
ETF
Fund Issuer
IShares
Asset Class
Fixed Income
Sector
Financial Services
Industry
Asset Management
Inception Date
October 5, 2020
Domicile
US
Website
ishares.com/us/products/305259/ishares-bb-rated-corporate-bond-etf

About this fund

The iShares BB Rated Corporate Bond ETF seeks to track the investment results of an index composed of BB (or its equivalent) fixed rate U.S. dollar-denominated bonds issued by U.S. and non-U.S. corporate issuers.

HYBB Stock Price

Key Facts

Fixed Income

Expense Ratio

0.25%

AUM

$321.72M

Fund Details

NAV$45.96 USD
Holdings1,068
Average Volume62.9K
Inception DateOctober 5, 2020
Asset ClassFixed Income
Fund IssuerIShares
DomicileUS
ISINUS46435U4739
CUSIP46435U473
NAV CurrencyUSD

Expense Ratio

0.25%

Assets Under Management

$321.72M

NAV

$45.96 USD

Holdings

1,068

Average Volume

62.9K

Inception Date

October 5, 2020

Asset Class

Fixed Income

Fund Issuer

IShares

Domicile

US

ISIN

US46435U4739

CUSIP

46435U473

NAV Currency

USD

Expense Ratio

0.25%

Assets Under Management

$321.72M

NAV

$45.96 USD

Holdings

1,068

Average Volume

62.9K

Inception Date

October 5, 2020

Asset Class

Fixed Income

Fund Issuer

IShares

Domicile

US

ISIN

US46435U4739

CUSIP

46435U473

NAV Currency

USD

Data last updated: Sep 12, 2026, 07:10 AM

Latest headlines and company announcements for this company. Press releases and market coverage, newest first.

News

Latest Market News

this company valued side by side against its closest peers. Peer-relative multiples and operating metrics, so the valuation is read in the context of its own sector rather than in isolation.

News

Latest Market News

What is HYBB?

iShares BB Rated Corporate Bond ETF (HYBB) is a Fixed Income fund from iShares, listed since 2020, with $321.7M in assets under management, a 0.25% expense ratio, a NAV of $45.96 USD.

What's in HYBB? Top 10 holdings

HoldingWeight
Blk Csh Fnd Treasury Sl Agency2.37%
Meridian Arc Holdco Llc 144a 6.25% 04/30/20310.61%
Softbank Group CORP 144a 9.25% 04/01/20320.52%
Pr Rno Property Owner 1 Llc 144a 6.50% 05/01/20310.48%
Quikrete Holdings INC 144a 6.38% 03/01/20320.44%
Discovery Global Holdings INC 5.05% 03/15/20420.43%
Cloud Software Group INC 144a 6.50% 03/31/20290.43%
Softbank Group CORP 144a 9.75% 04/01/20340.40%
Wulf Compute Llc 144a 7.75% 10/15/20300.39%
Discovery Global Holdings INC 4.28% 03/15/20320.39%

HYBB sector breakdown

  • Financial Services 100.00%

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