HYSA vs. CVY ETF Comparison

Comparison of BondBloxx USD High Yield Bond Sector Rotation ETF (HYSA) to Guggenheim Multi-Asset Income ETF (CVY)
HYSA

BondBloxx USD High Yield Bond Sector Rotation ETF

HYSA Description

The fund is "actively managed" and does not seek to replicate the performance of a specified index. The fund is newly organized and operates as a "fund of funds," meaning that it primarily invests its assets in securities of other ETFs. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$14.82

Average Daily Volume

13,234

Number of Holdings *

7

* may have additional holdings in another (foreign) market
CVY

Guggenheim Multi-Asset Income ETF

CVY Description The investment seeks investment results that correspond generally to the performance, before the fund's fees and expenses, of an equity index called the Zacks Multi-Asset Income Index. The fund invests at least 90% of its total assets in securities that comprise the index and depositary receipts representing securities that comprise the index. The Zacks Multi-Asset Income Index is comprised of approximately 149 securities selected, based on investment and other criteria, from a universe of domestic and international companies. The securities comprising the index include stocks of small and medium-sized companies.

Grade (RS Rating)

Last Trade

$25.27

Average Daily Volume

10,657

Number of Holdings *

128

* may have additional holdings in another (foreign) market
Performance
Period HYSA CVY
30 Days -0.09% -1.54%
60 Days 0.08% 4.52%
90 Days 0.75% 8.05%
12 Months 29.74%
0 Overlapping Holdings
Symbol Grade Weight in HYSA Weight in CVY Overlap
HYSA Overweight 7 Positions Relative to CVY
Symbol Grade Weight
XHYI A 25.05%
XHYT C 21.68%
XHYC A 12.99%
XHYF A 12.0%
XHYH A 10.0%
XHYE A 9.99%
XHYD A 8.0%
HYSA Underweight 128 Positions Relative to CVY
Symbol Grade Weight
ARLP A -1.73%
BSM B -1.28%
EOG B -1.14%
EQH A -1.1%
DKS B -1.1%
PDO A -1.09%
BAC B -1.08%
WFC B -1.08%
SYF A -1.08%
OVV B -1.08%
CRBG A -1.07%
PBF C -1.06%
BG C -1.06%
JPC A -1.06%
VLO C -1.05%
SLG B -1.04%
EWBC A -1.04%
AIG A -1.04%
MPC D -1.02%
IRM D -1.02%
CTRA A -1.02%
WAL C -1.0%
HIG D -1.0%
STNG A -1.0%
UAN B -0.98%
CIB C -0.97%
CIG A -0.96%
CF F -0.95%
MOS F -0.93%
PSX D -0.93%
PK D -0.93%
SPG D -0.92%
DSL A -0.9%
MPLX A -0.9%
DINO F -0.9%
ABEV D -0.89%
PBR B -0.89%
ET A -0.89%
JXN A -0.86%
LAMR B -0.82%
PAA B -0.81%
VALE D -0.77%
STAG D -0.76%
WES A -0.75%
NOG B -0.75%
EPD C -0.75%
T C -0.75%
RHP D -0.74%
MUR C -0.73%
MGY B -0.73%
TEF A -0.73%
RGA A -0.72%
CVS F -0.72%
RDN C -0.71%
TX B -0.71%
SLM A -0.71%
OGN B -0.7%
MTG C -0.7%
BPOP A -0.69%
VOYA C -0.69%
UNM A -0.68%
PAC A -0.67%
EVV A -0.67%
ONB A -0.67%
AXS B -0.66%
TGNA D -0.66%
HP F -0.66%
NXST C -0.66%
UMC C -0.64%
HSBC A -0.63%
SNV C -0.63%
CPA C -0.63%
SPH D -0.62%
DLY A -0.62%
CRC F -0.62%
WOR D -0.61%
PII F -0.6%
GLP A -0.6%
PTEN F -0.59%
RPRX D -0.58%
GEL A -0.54%
E C -0.53%
NSA D -0.52%
IIPR A -0.51%
SBRA B -0.5%
SUN D -0.49%
VVR A -0.48%
MAC D -0.47%
TTE B -0.47%
SKT D -0.42%
EPR D -0.42%
ACP B -0.42%
AL A -0.41%
BGB A -0.38%
HFRO C -0.38%
FFC B -0.37%
BOKF A -0.36%
SAH B -0.36%
SLVM A -0.35%
R A -0.35%
ADM D -0.35%
HWC A -0.35%
AVT A -0.34%
WIW A -0.34%
KFY D -0.34%
DAC A -0.34%
FBP A -0.34%
OXM A -0.34%
WAFD B -0.33%
CNO A -0.33%
PAG D -0.33%
ASC A -0.33%
KOF A -0.33%
EMD B -0.32%
BBVA C -0.32%
UE B -0.32%
OTTR B -0.32%
NAVI D -0.31%
DK F -0.3%
RES F -0.29%
RLJ D -0.29%
LZB F -0.29%
CATY D -0.29%
ISD C -0.25%
ARDC A -0.25%
HIO C -0.21%
EAD A -0.2%
NBB C -0.13%
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