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iShares $ High Yield Corp Bond UCITS ETF

iShares
BondsReinvestsOwns the sharesIE
Mid-range feeReinvests dividendsOwns the shares directlyOtherBroadly spread
TER ?
0.50%
Distribution ?
Accumulating
Replication ?
Physical Full
Fund size ?
€5.3B
Domicile ?
IE
Fund currency ?
USD
Launched
2017 (9-year track record)
Holdings
1,348 positions
Regulation
UCITS

What this fund is

iShares $ High Yield Corp Bond UCITS ETF is an exchange-traded fund (ETF) from iShares, traded under the ticker IHYA (ISIN IE00BYXYYL56). In a single purchase you get a diversified basket of holdings rather than a stake in just one business. In plain terms it is about lending to governments and companies in return for regular interest, which tends to be steadier than shares but grows more slowly, spread across its target market. Its largest holdings include BLK ICS USD LEAF AGENCY DIST, CCO HOLDINGS LLC and CVS HEALTH CORP NC5.25. It holds around 1348 positions (the ten largest ≈ 6.9%), spreading risk so no single holding decides your outcome.

By geography it is weighted towards ~88.2% United States, ~4.2% Canada and ~1.6% United Kingdom. Its heaviest sectors are ~16.7% Consumer Discretionary and ~15.5% Communication Services. Funds like this are often used as the steadier, lower-swing part of a portfolio — the ballast that cushions the ups and downs of shares. Its ongoing charge (TER) is 0.5% a year — about €50 a year on a €10,000 holding, taken automatically from the fund. It is an accumulating share class: dividends are rolled straight back in, compounding your returns rather than landing in your account as cash.

It holds the underlying investments directly (physical replication); it is domiciled in Ireland and UCITS-regulated, a European standard built to protect everyday investors and trades in USD. Its price has swung about 7.6% over the past year — a gauge of how much the value moves, not a judgement of quality. It launched in 2017. Like any investment, it can lose value as well as gain, and what it did before does not predict what it will do next. (Fund data sourced from iShares.)

Performance

+6.0%
1-year return · USD · as of 2026-07-02
Total return — includes reinvested dividends. ?

Returns over time

YTD+1.9%
1 year+6.0%
3 years+8.4%
5 years+3.9%

How bumpy has it been?

7.6%
Volatility (1y)
How much the price swings year to year — lower is calmer.
-4.5%
Worst drop (3y)
The biggest fall from a peak over the last three years.
0.94
Return for the risk (3y)
Reward earned per unit of bumpiness (the Sharpe ratio) — higher is better.

Price history

7.54 USD latest price · end-of-day · 2026-07-02

5.306.517.71Jul '21Jan '24Jul '26

Weekly closing prices · last 5 years · USD. End-of-day, not live. Past performance doesn’t predict the future.

What your money could grow into

Pick a monthly amount and a number of years to see how regular investing can add up over time. These are your own assumptions — an illustration, not a prediction.

Using iShares $ High Yield Corp Bond UCITS ETF’s fee. The “assumed yearly return” is just an assumption you can change — not a prediction.

Try:Rough historical ranges — your assumption, not a prediction or advice.
Projected value
You put in
Growth

At year · · you’d have put in , growth added . Drag across the chart (or use ← → keys) to read any year.

Money you added Growth
See the key milestones (every 5 years)
YearPut inGrowthBalance

How this works: an educational scenario, not a forecast. We compound monthly and add your monthly amount each month. “Expected annual return” is your own assumption — pick a cautious one; real markets are bumpy and can fall. “Adjust for inflation” simply restates the result in today’s spending power. The fee figure includes the yearly fund fee (TER) and the growth those fees would otherwise have earned. The fund comparison repeats each fund’s last-12-months return every year — a rough illustration only, which real funds never do. Not advice.

Where it trades

ExchangeTickerCurrency
LSEIHYAUSD★ primary ?
B2IHYAUSD
B3IHYAZUSD
B3IHYALUSD
B4IHYAUSDUSD
CBIHYACOUSD
CCIHYAUSD
CIIHYAUSD
CXIHYACOUSD
E1IHYAUSDUSD
E1IHYAILSUSD
E1IHYAGBXUSD
E1IHYAEURUSD
E1IHYACHFUSD
EBIHYALUSD
EBIHYAZUSD
EOIHYACHFUSD
EOIHYAEURUSD
EOIHYAUSDUSD
EPIHYAUSDUSD
EPIHYAILSUSD
EPIHYACHFUSD
EUIHYAEURUSD
EUIHYAGBXUSD
EUIHYAILSUSD
EUIHYAUSDUSD
EUIHYACHFUSD
EZIHYAUSDUSD
EZIHYAILSUSD
EZIHYACHFUSD
FrankfurtA2DN9YEUR
GMA2DN9YUSD
GZIS00USD
ITISFF203USD
IXIHYALUSD
IXIHYAZUSD
L1IHYAZUSD
L1IHYALUSD
L3IHYALUSD
L3IHYAZUSD
LAA2DN9YUSD
London Stock ExchangeIHYAUSD
LUA2DN9YUSD
MFIHYANUSD
MMIHYANUSD
MUIHYANUSD
PEIHYAUSD
POIHYALUSD
POIHYAZUSD
PQISHYFUSD
QTIS00USD
QXIHYALUSD
QXIHYAZUSD
S1IHYALUSD
SEIHYAUSD
SIXIHYACHF
T2IHYACHFUSD
T2IHYAUSDUSD
THIS00USD
TQIHYALUSD
USISHYFUSD
UVISHYFUSD
WTIHYAUSDUSD
WTIHYACHFUSD
X1IHYAILSUSD
X2IHYAGBXUSD
X2IHYAILSUSD
X2IHYAUSDUSD
X9IHYAUSDUSD
XAIHYAUSDUSD
XAIHYAILSUSD
XAIHYAGBXUSD
XAIHYAEURUSD
XAIHYACHFUSD
XBIHYAGBXUSD
XEIHYAUSDUSD
XEIHYAILSUSD
XEIHYAGBXUSD
XEIHYAEURUSD
XEIHYACHFUSD
XFIHYACHFUSD
XFIHYAEURUSD
XFIHYAGBXUSD
XFIHYAILSUSD
XFIHYAUSDUSD
XGIHYAUSDUSD
XGIHYAILSUSD
XGIHYAGBXUSD
XGIHYAEURUSD
XGIHYACHFUSD
XHIHYACHFUSD
XHIHYAEURUSD
XHIHYAGBXUSD
XHIHYAILSUSD
XHIHYAUSDUSD
XJIHYAUSDUSD
XJIHYAILSUSD
XJIHYAGBXUSD
XJIHYAEURUSD
XJIHYACHFUSD
XLIHYACHFUSD
XLIHYAEURUSD
XLIHYAGBXUSD
XLIHYAILSUSD
XLIHYAUSDUSD
XOIHYAUSDUSD
XOIHYAILSUSD
XOIHYAGBXUSD
XOIHYAEURUSD
XOIHYACHFUSD
XQIHYAGBXUSD
XQIHYAILSUSD
XSIHYAUSDUSD
XSIHYAILSUSD
XSIHYAGBXUSD
XSIHYAEURUSD
XSIHYACHFUSD
XTIHYAILSUSD
XUIHYAUSDUSD
XUIHYAILSUSD
XUIHYAGBXUSD
XUIHYAEURUSD
XUIHYACHFUSD
XVIHYAUSDUSD
XVIHYAILSUSD
XVIHYAGBXUSD
XVIHYAEURUSD
XVIHYACHFUSD
XWIHYACHFUSD
XWIHYAEURUSD
XWIHYAGBXUSD
XWIHYAILSUSD
XWIHYAUSDUSD
XXIHYAUSDUSD
XXIHYAILSUSD
XXIHYAGBXUSD
XXIHYAEURUSD
XXIHYACHFUSD
XZIHYAGBXUSD
XZIHYAILSUSD

Top holdings ?

Top-holdings (estimate) · as of 2026-07-02
BLK ICS USD LEAF AGENCY DIST1.0%
CCO HOLDINGS LLC0.9%
CVS HEALTH CORP NC5.250.8%
ECHOSTAR CORP0.8%
VODAFONE GROUP PLC0.7%
BLOCK INC0.7%
UNITED RENTALS (NORTH AMERICA) INC0.6%
TENET HEALTHCARE CORP0.6%
PG&E CORPORATION0.5%
SBA COMMUNICATIONS CORP0.5%

How concentrated it is ?

The 10 biggest holdings make up 6.9% of this fund.

Where your money goes ?

UNITED STATESUNITED STATES88.2%
CANADACANADA4.2%
UNITED KINGDOMUNITED KINGDOM1.7%
ISRAELISRAEL1.5%
IRELANDIRELAND1.0%
FRANCEFRANCE0.8%
Other / not shown2.7%

What kinds of companies ?

Consumer Discretionary16.7%
Communication Services15.5%
Consumer Staples14.5%
Financials11.2%
Industrials10.1%
Energy8.6%
Technology7.8%
Materials6.3%
Other / not shown9.2%

Funds a bit like this one

For comparison only — not a suggestion to switch.

Data as of 2026-07-02 · Source: fh-api

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Finance Hamster provides educational information about ETFs and investing. It is not investment, tax, or legal advice, and not a recommendation to buy or sell any security. Markets carry risk; do your own research or consult a licensed adviser.