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BSCU

ETF
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Performance overview

BSCU Price
Price Chart

Forward-looking statistics

Beta
0.07
Risk
4.94%

Detailed forecast

[disclaimer]

Individual forecast components (weighted-sum)

Fund Profile

The fund generally will invest at least 80% of its total assets in securities that comprise the underlying index. The underlying index seeks to measure the performance of a portfolio of U.S. dollar-denominated investment grade corporate bonds with maturities or, in some cases, "effective maturities" in the year 2030. It does not purchase all of the securities in the index; instead, the fund utilizes a "sampling" methodology to seek to achieve its investment objective.

Fund info

The fund generally will invest at least 80% of its total assets in securities that comprise the underlying index. The underlying index seeks to measure the performance of a portfolio of U.S. dollar-denominated investment grade corporate bonds with maturities or, in some cases, "effective maturities" in the year 2030. It does not purchase all of the securities in the index; instead, the fund utilizes a "sampling" methodology to seek to achieve its investment objective.

Investing methodPassively Managed
DiversifiedYes
Expense ratio0.18%
Asset classUnknown

Top holdings

The Boeing Company 5.15%1.99%
Pacific Gas and Electric Company 4.55%1.36%
Amgen Inc. 5.25%1.27%
Philip Morris International Inc. 5.125%1.01%
Takeda Pharmaceutical Co Ltd. 2.05%0.98%
Centene Corp. 3%0.87%
Alphabet Inc. 1.1%0.86%
Centene Corp. 3.375%0.81%
Exxon Mobil Corp. 2.61%0.81%
Other90.06%

Sector exposure

Health Care14.17%
Financials11.49%
Consumer Staples6.90%
Consumer Discretionary6.07%
Information Technology5.70%
Energy5.29%
Industrials4.68%
Utilities3.14%
Communication Services2.77%
Other39.79%

Country exposure

United States88.19%
Japan4.67%
UK3.33%
Canada2.49%
Spain0.42%
Ireland0.40%
Norway0.30%
Australia0.20%
Other0.00%

Company info

Sector—
Industry—
Website—
AUM—

Security info

ExchangeNASDAQ
Type of shareN/A
Earnings per share (EPS)—
Dividend per share$0.80
Revenue per share—
Avg trading volume (30 day)$6M
Avg trading volume (10 day)$7M
Put-call ratioN/A

Macro factor sensitivity

Growth-1.5
Credit+1.0
Liquidity-0.2
Inflation-1.2
Commodities+0.1
Interest Rates-0.4

Upcoming events

Next earnings day—
Next dividend day—
Ex. dividend dayJune 23, 2025

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