IQSM vs. HYBB ETF Comparison

Comparison of IQ Candriam ESG U.S. Mid Cap Equity ETF (IQSM) to iShares BB Rated Corporate Bond ETF (HYBB)
IQSM

IQ Candriam ESG U.S. Mid Cap Equity ETF

IQSM Description

IQ Candriam ESG U.S. Mid Cap Equity ETF is an exchange traded fund launched by New York Life Investment Management LLC. The fund is managed by IndexIQ Advisors LLC. The fund invests in public equity markets of the United States. It invests in stocks of companies operating across diversified sectors. The fund invests in growth and value stocks of mid-cap companies. It invests in stocks of companies that are deemed socially conscious in their business dealings and directly promote environmental responsibility. The fund seeks to track the performance of the IQ Candriam ESG U.S. Mid Cap Equity Index, by using full replication technique. IQ Candriam ESG U.S. Mid Cap Equity ETF is domiciled in the United States.

Grade (RS Rating)

Last Trade

$34.29

Average Daily Volume

13,747

Number of Holdings *

214

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

iShares BB Rated Corporate Bond ETF

HYBB Description The investment seeks to track the investment results of the ICE BofA BB US High Yield Constrained Index composed of BB, or equivalently rated, fixed rate U.S. dollar-denominated bonds issued by U.S. and non-U.S. corporations. The fund generally will invest at least 90% of its assets in the component securities of the underlying index and may invest up to 10% of its assets in certain futures, options and swap contracts, cash and cash equivalents, including shares of money market funds advised by BFA or its affiliates (BlackRock Cash Funds), as well as in securities not included in the index, but which BFA believes will help it track the index.

Grade (RS Rating)

Last Trade

$46.60

Average Daily Volume

53,807

Number of Holdings *

257

* may have additional holdings in another (foreign) market
Performance
Period IQSM HYBB
30 Days 4.29% 0.77%
60 Days 5.32% -0.93%
90 Days 6.64% 0.18%
12 Months 27.71% 7.81%
43 Overlapping Holdings
Symbol Grade Weight in IQSM Weight in HYBB Overlap
AA B 0.35% 0.06% 0.06%
ACM A 0.7% 0.14% 0.14%
AIZ A 0.54% 0.06% 0.06%
ALLY C 0.47% 0.07% 0.07%
AM A 0.24% 0.09% 0.09%
AXTA A 0.43% 0.08% 0.08%
BLD D 0.55% 0.05% 0.05%
CACC D 0.13% 0.06% 0.06%
CLF F 0.26% 0.05% 0.05%
CMC B 0.33% 0.04% 0.04%
COTY F 0.13% 0.07% 0.07%
CRL C 0.48% 0.06% 0.06%
DAR C 0.31% 0.07% 0.07%
DVA B 0.4% 0.14% 0.14%
EHC B 0.48% 0.05% 0.05%
ESI A 0.3% 0.12% 0.12%
ESTC C 0.36% 0.08% 0.08%
GAP C 0.21% 0.1% 0.1%
GEN B 0.79% 0.09% 0.09%
GPK C 0.41% 0.04% 0.04%
GTLS B 0.34% 0.23% 0.23%
IBP D 0.23% 0.05% 0.05%
JAZZ B 0.36% 0.19% 0.19%
LAD A 0.48% 0.07% 0.07%
LEVI F 0.08% 0.06% 0.06%
LW C 0.55% 0.08% 0.08%
MTN C 0.31% 0.09% 0.09%
NCLH B 0.54% 0.07% 0.07%
NWSA B 0.53% 0.07% 0.07%
PARA C 0.32% 0.08% 0.08%
POST C 0.25% 0.15% 0.15%
ST F 0.23% 0.06% 0.06%
STWD C 0.28% 0.05% 0.05%
TFX F 0.43% 0.07% 0.07%
TWLO A 0.76% 0.06% 0.06%
WAL B 0.47% 0.09% 0.09%
WBA F 0.3% 0.03% 0.03%
WCC B 0.46% 0.12% 0.12%
WFRD D 0.28% 0.25% 0.25%
WH B 0.37% 0.08% 0.08%
WMS D 0.42% 0.06% 0.06%
X C 0.39% 0.04% 0.04%
XPO B 0.81% 0.08% 0.08%
IQSM Overweight 171 Positions Relative to HYBB
Symbol Grade Weight
EME C 1.12%
PKG A 1.0%
YUMC C 0.86%
KEY B 0.85%
PNR A 0.84%
BURL A 0.84%
NTNX A 0.83%
RPM A 0.83%
MANH D 0.82%
MAS D 0.82%
OC A 0.81%
KIM A 0.78%
DOCU A 0.77%
TOL B 0.76%
EQH B 0.75%
UTHR C 0.75%
FIX A 0.74%
FLEX A 0.72%
USFD A 0.72%
GWRE A 0.72%
RGA A 0.72%
GGG B 0.71%
SAIA B 0.69%
EWBC A 0.69%
FFIV B 0.68%
DT C 0.68%
SFM A 0.68%
POOL C 0.66%
EPAM C 0.66%
UDR B 0.65%
UNM A 0.65%
RNR C 0.64%
TPR B 0.63%
CHRW C 0.62%
CPT B 0.61%
ELS C 0.61%
JLL D 0.6%
ITT A 0.6%
AMH D 0.6%
JKHY D 0.6%
REG B 0.59%
NBIX C 0.59%
HST C 0.59%
KMX B 0.59%
JNPR F 0.58%
NVT B 0.58%
FTI A 0.58%
ALB C 0.57%
WPC D 0.57%
PAYC B 0.56%
RRX B 0.55%
SJM D 0.55%
DAY B 0.55%
BJ A 0.55%
Z A 0.55%
DKS C 0.54%
CG A 0.54%
TECH D 0.54%
INSM C 0.54%
ATR B 0.54%
SF B 0.54%
IPG D 0.53%
TTEK F 0.52%
CTLT B 0.51%
FND C 0.51%
CUBE D 0.51%
PRI A 0.5%
WTRG B 0.5%
AYI B 0.48%
OHI C 0.47%
GL B 0.47%
LKQ D 0.47%
INGR B 0.47%
MKTX D 0.47%
SRPT D 0.46%
ARMK B 0.46%
QGEN D 0.46%
PCVX D 0.46%
GLOB B 0.46%
DTM B 0.46%
EXAS D 0.45%
ORI A 0.45%
BRBR A 0.45%
FBIN D 0.45%
FN D 0.44%
DCI B 0.44%
ROKU D 0.44%
PCTY B 0.43%
REXR F 0.43%
EXEL B 0.43%
SNX C 0.42%
KNX B 0.42%
AOS F 0.42%
RVMD C 0.42%
RL B 0.41%
TTC D 0.41%
ITCI C 0.41%
PEN B 0.41%
BRX A 0.41%
MTZ B 0.41%
CHE D 0.4%
FRT B 0.4%
PLNT A 0.4%
MOS F 0.4%
HAS D 0.39%
HRB D 0.39%
VOYA B 0.39%
NYT C 0.39%
ONTO D 0.38%
TREX C 0.37%
HSIC B 0.37%
MEDP D 0.37%
RHI B 0.37%
ADC B 0.36%
KEX C 0.36%
OLED D 0.35%
RIVN F 0.35%
APG B 0.35%
G B 0.35%
MHK D 0.35%
RGEN D 0.35%
ANF C 0.34%
GNTX C 0.34%
WEX D 0.34%
ALV C 0.34%
BPOP B 0.33%
BEN C 0.33%
H B 0.33%
FR C 0.33%
AGNC D 0.33%
RYAN B 0.33%
LSCC D 0.33%
CGNX C 0.33%
GXO B 0.33%
MKSI C 0.33%
DINO D 0.32%
AZEK A 0.32%
LSTR D 0.32%
FCN D 0.32%
HLNE B 0.32%
HALO F 0.32%
FAF A 0.31%
CFLT B 0.31%
STAG F 0.31%
AXS A 0.31%
ARW D 0.3%
NOV C 0.3%
MSA D 0.3%
LFUS F 0.29%
PVH C 0.28%
AGCO D 0.28%
SUM B 0.28%
CHX C 0.28%
CROX D 0.28%
SIGI C 0.28%
ETSY D 0.28%
BPMC C 0.28%
VKTX F 0.27%
ALTR B 0.27%
WTS B 0.27%
LEA D 0.26%
CRUS D 0.26%
PATH C 0.26%
TKR D 0.23%
FIVE F 0.23%
DLB B 0.21%
AN C 0.21%
ACHC F 0.17%
ZG A 0.16%
NWS B 0.11%
LCID F 0.08%
IQSM Underweight 214 Positions Relative to HYBB
Symbol Grade Weight
WDC D -0.33%
JBLU F -0.3%
INGM F -0.29%
CCL B -0.29%
UAL A -0.27%
CZR F -0.22%
SBAC D -0.2%
GTN F -0.2%
TLN B -0.19%
VAL D -0.17%
TDG D -0.16%
VST B -0.15%
SIRI C -0.14%
COHR B -0.14%
PFGC B -0.14%
BFH B -0.14%
PCG A -0.14%
NXST C -0.13%
RBLX C -0.13%
SQ B -0.13%
AMCX C -0.13%
HLF C -0.12%
KNTK B -0.12%
HRI B -0.12%
BYD C -0.12%
HGV B -0.12%
VRT B -0.12%
HTZ C -0.12%
SYF B -0.11%
IGT F -0.11%
W F -0.11%
AVTR F -0.11%
ESAB B -0.11%
AAL B -0.11%
DTE C -0.11%
USM B -0.1%
TPX B -0.1%
SBH C -0.1%
BALL D -0.1%
ADT C -0.1%
CRWD B -0.1%
TRN C -0.1%
ON D -0.1%
TEX D -0.09%
VSAT F -0.09%
SLGN A -0.09%
ASGN F -0.09%
MOH F -0.09%
PK B -0.09%
FTRE D -0.09%
AVNT B -0.09%
AIR B -0.09%
CWK B -0.09%
IEP F -0.09%
GDDY A -0.09%
ATSG B -0.09%
GEO B -0.09%
ADNT F -0.08%
THO B -0.08%
IQV D -0.08%
CRI D -0.08%
ACI C -0.08%
GNL F -0.08%
BLDR D -0.08%
AMKR D -0.08%
NEP F -0.08%
SLM A -0.08%
OGN D -0.08%
FLR B -0.08%
ACCO C -0.08%
LADR B -0.08%
OUT A -0.08%
SRCL C -0.08%
PPC C -0.08%
DO D -0.08%
CXW B -0.08%
ECPG B -0.08%
ALGT B -0.08%
HHH B -0.08%
NMRK B -0.08%
MTDR B -0.08%
SNEX B -0.08%
SCI B -0.08%
THC D -0.08%
ZBRA B -0.08%
RNG B -0.07%
PTC A -0.07%
MD B -0.07%
KFY B -0.07%
SAH A -0.07%
RLJ C -0.07%
COOP B -0.07%
MWA B -0.07%
ATGE B -0.07%
ZD C -0.07%
FCFS F -0.07%
DY D -0.07%
LYV A -0.07%
FTAI B -0.07%
GHC C -0.07%
PHIN A -0.07%
TNET D -0.07%
HLT A -0.07%
PAG B -0.07%
NAVI C -0.07%
URI B -0.07%
OLN D -0.07%
EPC D -0.07%
SCS C -0.07%
GPI A -0.07%
ARLP A -0.07%
TGNA B -0.07%
NSIT F -0.07%
LTH C -0.07%
EIX B -0.07%
NGVT B -0.07%
IRM D -0.07%
UA C -0.07%
PFSI D -0.07%
BWXT B -0.06%
MGM D -0.06%
HLX B -0.06%
TCBI B -0.06%
CIEN B -0.06%
MTX B -0.06%
HOLX D -0.06%
TMHC B -0.06%
SM B -0.06%
SEE C -0.06%
CIVI D -0.06%
CHTR C -0.06%
PBH A -0.06%
BCC B -0.06%
RXO C -0.06%
TRS B -0.06%
HESM B -0.06%
TTMI B -0.06%
CCOI B -0.06%
ATKR C -0.06%
NWL B -0.06%
CNX A -0.06%
VSTO A -0.06%
VNOM A -0.06%
RHP B -0.06%
NRG B -0.06%
CCK C -0.06%
ET A -0.06%
CCS D -0.06%
BCO D -0.06%
RRC B -0.06%
SXC A -0.06%
MUR D -0.05%
VNO B -0.05%
DFH D -0.05%
OII B -0.05%
DAN D -0.05%
ASH D -0.05%
AMN F -0.05%
PR B -0.05%
WGO C -0.05%
JWN C -0.05%
CRS A -0.05%
GOLF B -0.05%
OI C -0.05%
ALSN B -0.05%
TPH D -0.05%
SYNA C -0.05%
VIAV B -0.05%
FL F -0.05%
ENTG D -0.05%
ABG B -0.05%
LAMR D -0.05%
SUN B -0.05%
LPX B -0.05%
AES F -0.05%
AR B -0.05%
FOUR B -0.05%
BXMT C -0.05%
REZI A -0.04%
CLH B -0.04%
FUL F -0.04%
CXT B -0.04%
KBR F -0.04%
PRGO B -0.04%
BECN B -0.04%
BSIG A -0.04%
FOR F -0.04%
MUSA A -0.04%
SPR D -0.04%
GNW A -0.04%
ENS D -0.04%
LGIH D -0.04%
IMKTA C -0.04%
YUM B -0.04%
VLY B -0.04%
VFC C -0.04%
BDN C -0.04%
PRAA C -0.04%
CENT C -0.04%
KSS F -0.04%
BBWI D -0.04%
TNL A -0.04%
HI C -0.04%
STX D -0.04%
HPP F -0.04%
MHO D -0.04%
KBH D -0.04%
CHRD D -0.04%
RCL A -0.04%
CSTM F -0.03%
BERY B -0.03%
AAP C -0.03%
OMF A -0.03%
M D -0.02%
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