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| | AB High Yield ETF | High Yield Bond | | 3,57 | - | 35,93 | USD |
| | American Century® Select High Yield ETF | High Yield Bond | Sin valorar | 3,24 | - | 44,62 | USD |
| | Angel Oak High Yield Opportunities ETF | High Yield Bond | | 4,83 | - | 10,80 | USD |
| | BNY Mellon High Yield Beta ETF | High Yield Bond | | 3,63 | - | 46,58 | USD |
| | BondBloxx B Rated USD High Yield Corporate Bond ETF | High Yield Bond | Sin valorar | 3,53 | - | 38,70 | USD |
| | BondBloxx BB Rated USD High Yield Corporate Bond ETF | High Yield Bond | Sin valorar | 3,49 | - | 39,42 | USD |
| | BondBloxx CCC Rated USD High Yield Corporate Bond ETF | High Yield Bond | Sin valorar | 3,17 | - | 37,45 | USD |
| | BondBloxx US High Yield Consumer Cyclicals Sector ETF | High Yield Bond | Sin valorar | 4,56 | - | 36,68 | USD |
| | BondBloxx US High Yield Consumer Non-Cyclicals Sector ETF | High Yield Bond | Sin valorar | 3,12 | - | 36,87 | USD |
| | BondBloxx US High Yield Energy Sector ETF | High Yield Bond | Sin valorar | 5,44 | - | 38,58 | USD |
| | BondBloxx US High Yield Financial & REIT Sector ETF | High Yield Bond | Sin valorar | 4,18 | - | 36,44 | USD |
| | BondBloxx US High Yield Healthcare Sector ETF | High Yield Bond | Sin valorar | 4,51 | - | 33,70 | USD |
| | BondBloxx US High Yield Industrial Sector ETF | High Yield Bond | Sin valorar | 4,24 | - | 37,27 | USD |
| | BondBloxx US High Yield Telecom Media Technology Sector ETF | High Yield Bond | Sin valorar | 0,02 | - | 33,02 | USD |
| | Bondbloxx USD High Yield Bond Sector Rotation ETF | High Yield Bond | Sin valorar | 2,80 | - | 14,65 | USD |
| | Eaton Vance High Yield ETF | High Yield Bond | Sin valorar | 3,31 | - | 51,99 | USD |
| | Federated Hermes Short Duration High Yield ETF | High Yield Bond | Sin valorar | 5,27 | - | 22,85 | USD |
| | Fidelity High Yield Factor ETF | High Yield Bond | | 3,56 | - | 47,16 | USD |
| | Fidelity Sustainable High Yield ETF | High Yield Bond | Sin valorar | 3,39 | - | 45,80 | USD |
| | First Trust Tactical High Yield ETF | High Yield Bond | | 2,09 | - | 40,33 | USD |
(End of Results Table)
(Start of Performance Disclaimer)Los Valores Liquidativos (VL) se actualizan cada día laborable tras el cierre de los mercados y antes de las 11 p.m. siempre que sea posible. La moneda de presentación de las rentabilidades es el Euro (EUR). Las rentabilidades acumuladas se calculan de VL a VL y con reinversión de dividendos. Dividendos de fondos nacionales calculados después de impuestos. Dividendos de fondos extranjeros en valor bruto.(End of Performance Disclaimer)