GIGB ETF

GIGB ETF
$43.86
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GIGB holds 2.3% of its assets in its 10 largest positions as of Sep 1, 2026. GIGB is Goldman Sachs Access Investment Grade Corporate Bond ETF.

Showing the top 10 of 2,620 holdings · as of Sep 1, 2026
Top 10 weight
2.34%
GIGB top 10 holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1—Morgan Stanley (Usd) Variable Rate, Callable 5.424% Jul 21, 2034 Variable Rate, Callable 6.627% Nov 1, 2034Financials · Capital Markets
0.30%
0.3%2,970,000$2.95MFinancialsCapital Markets
2DebtCredit Suisse Group AgFinancials · Banks
0.29%
0.6%2,940,000$2.85MFinancialsBanks
Sector and industry · Pro
3—National Bank Of Canada 4.5 2029-10-10
0.25%
0.8%2,540,000$2.51M
4DebtBoeing
0.24%
1.1%2,560,000$2.39M
5DebtApple Inc
0.22%
1.3%2,488,000$2.19M
6DebtCitigroup Inc Sr Unsecured 06/35 Var
0.21%
1.5%2,104,000$2.09M
7DebtOracle Corp
0.21%
1.7%2,210,000$2.13M
8—Goldman Sachs Central Government Fund 3.747392% 2026-08-01
0.21%
1.9%2,121,591$2.12M
9DebtHsbc Holdings
0.21%
2.1%2,062,000$2.05M
10—JPMorgan Chase & Co 5.14% Jan 24, 2031
0.20%
2.3%2,000,000$2.01M
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Themes in the top 10
Global BankingAsset ManagementDerivatives TradingInvestment TechnologyInterest RatesLending & CreditDigital BankingPaymentsMarket InfrastructureAviation TechnologySpace EconomyDefense TechnologyManufacturingArtificial IntelligenceCloud Computing

GIGB ETF Top Holdings

GIGB holdings top 10 positions. The top 10 holdings account for 2.3% of the fund, led by Morgan Stanley (Usd) Variable Rate, Callable 5.424% Jul 21, 2034 Variable Rate, Callable 6.627% Nov 1, 2034 at 0.3%, Credit Suisse Group Ag 4.194 04/01/2031 at 0.3%, National Bank Of Canada 4.5 2029-10-10 at 0.3%.

GIGB portfolio concentration is well-diversified, with the top 10 representing 2.3% of total assets. The largest sector exposure is Financials at 30.9%.

GIGB sectors provide a detailed breakdown. GIGB overlap shows how holdings compare to other funds in your portfolio.

Showing 10 of 2,467 holdingsTop 10 Weight: 2.34%
#TickerNameIndustryWeightAllocation
1MS V5.424 07/21/34 MMorgan Stanley (Usd) Variable Rate, Callable 5.424% Jul 21, 2034 Variable Rate, Callable 6.627% Nov 1, 2034Financials0.30%
2UBS V4.194 04/01/31 Credit Suisse Group Ag 4.194 04/01/2031Financials0.29%
3NACN 4.5 10/10/29National Bank Of Canada 4.5 2029-10-10Financials0.25%
4BA 2.95 02/01/30Boeing 2.95% 02/01/2030Industrials0.24%
5AAPL 1.65 02/08/31Apple Inc 1.65 02/08/2031Information Technology0.22%
6C V5.449 06/11/35Citigroup Inc Sr Unsecured 06/35 Var 5.449 06/11/2035Financials0.21%
7ORCL 6.5 04/15/38Oracle Corp 6.5 04/15/2038Information Technology0.21%
8-Goldman Sachs Central Government Fund 3.747392% 2026-08-01Other0.21%
9HSBC V5.402 08/11/33Hsbc Holdings 5.402 08/11/2033Financials0.21%
10JPM V5.14 01/24/31Jpmorgan Chase & Co 5.14% Jan 24, 2031Financials0.20%
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Holdings Distribution

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