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FlexShares High Yield Value-Scored Bond Index Fund

HYGV · Fixed Income

$40.16
-0.22%
Assets
n/a
Expense ratio
0.37%
Holdings
950
1Y return
+8.7%
Forward P/E
n/a
Top 10 holdings
+8.3%

Return and risk

1Y total return+8.7%
3Y total return+27.5%
5Y total return+19.0%
3Y CAGR+8.4%
5Y CAGR+3.5%
Beta0.41
RSI43.18

Fund structure

Asset classFixed Income
Assetsn/a
Holdings950
Expense ratio0.37%
Dividend yield+7.4%
Top 10 holdings+8.3%
Volume103.1K

All ETF indicators

All Time High50.47
All Time High Change-20.46
All Time High Date2018-08-31
All Time Low36.86
All Time Low Change8.91
All Time Low Date2020-03-23
Atr0.16
Beta0.41
Cagr1y8.66
Cagr3y8.43
Cagr5y3.54
Ch1m-0.3
Ch1w-0.14
Ch1y0.97
Ch3m-1.87
Ch3y0.21
Ch5y-18.85
Ch6m-1.63
Ch YTD-1.45
Close40.25
Div CAGR3-3.62
Div CAGR5-0.24
Dividend Growth-6.29
Dividend Growth Years0
Dividend Years9
Dividend Yield7.43
Dps2.98
Ex Div Date2026-05-01
High5241.32
High52ch-2.8
High52 Date2025-09-23
Inception Date2018-07-17
IsinUS33939L6627
Last Dividend0.25
Low5239.55
Low52ch1.54
Low52 Date2026-03-27
Ma15040.63
Ma150ch-1.19
Ma2040.42
Ma20040.71
Ma200ch-1.38
Ma20ch-0.68
Ma5040.23
Ma50ch-0.22
Payment Date2026-05-07
Payout FrequencyMonthly
Price Date2026-05-12
Rsi43.18
Rsi Monthly43.44
Rsi Weekly43.24
Sharpe Ratio1.06
Sortino Ratio3.35
Top10holdings8.25
Tr1m0.32
Tr1y8.66
Tr3m-0.08
Tr3y27.48
Tr5y19.02
Tr6m2
Tr YTD0.95
HYGV ETF profile: assets, fees, returns and holdings | StockMarketAgent.AI