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iShares Global High Yield Corp Bond UCITS ETF

HYLD

Tracks: iBoxx Global Developed Markets Liquid High Yield Capped (USD) Index (USD)

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AUM

USD 950M

medium

TER

0.5%

YTD Return

+0.55%

Currency

USD

Replication

Sampled

Inception

2012-11-13

Dividend

Distributing

Domicile

Ireland

Asset Class

Fixed Income

Classification

Asset ClassFixed Income
Management StylePassive (Index)
DistributionDistributing
AUM TierMedium ($250M–$1B)
Geographic FocusGlobal
IndexiBoxx Global Developed Markets Liquid High Yield Capped ( ) Index ( )
Currency TreatmentUnhedged
ReplicationPhysical — Optimised Sampling
Legal StructureUCITS
UCITS EligibleYes

Fixed Income Details

SectorCorporate — High Yield
Credit QualityHigh Yield

The Fund seeks to track the performance of an index composed of high yield corporate bonds from issuers in developed markets.

as of 2026-07-28

2026 (6M)

+0.55%

YTD

+0.55%

30-Day

Monthly Returns

YearJanFebMarAprMayJunJulAugSepOctNovDecAnnual
2026+1.18%-0.14%-2.90%+2.54%+0.41%-0.45%
2025+1.08%+1.03%+1.21%+3.16%+1.30%+2.89%-0.72%+1.98%+0.80%-0.75%+0.71%+1.13%+14.63%
2024-0.84%-0.04%+0.55%-1.00%+1.78%-0.12%+1.97%+2.58%+1.68%-1.65%-0.83%-1.06%+2.95%
2023+4.06%-2.01%+1.70%+1.40%-1.98%+2.13%+1.71%-0.60%-1.93%-0.68%+5.51%+3.72%+13.44%
2022-2.82%-1.55%-0.94%-5.68%+0.98%-7.51%+4.29%-3.11%-5.01%+2.94%+4.90%+1.12%-12.51%
2021+0.07%+0.35%-0.99%+1.90%+0.93%-0.53%+0.30%+0.21%-1.02%-0.43%-2.18%+1.92%+0.46%
2020-0.64%-2.14%-11.70%+4.75%+4.24%+1.12%+5.66%+1.47%-2.10%+0.09%+5.15%+2.28%+7.12%
2019+3.98%+1.40%+0.43%+1.07%-1.63%+3.14%-0.25%+0.14%-0.34%+1.14%+0.21%+2.12%+11.88%
2018+1.68%-1.54%-0.07%+0.03%-1.47%+0.04%+1.24%+0.30%+0.31%-2.33%-0.98%-1.26%-4.04%
2017+1.59%+0.80%+0.01%+1.59%+1.83%+0.57%+1.96%+0.20%+0.56%-0.02%+0.36%+0.26%+10.11%
2016-1.56%+0.74%+5.06%+3.01%-0.54%+0.48%+2.39%+1.83%+0.48%-0.61%-1.41%+1.66%+11.93%
2015-1.11%+2.02%-1.83%+1.94%-0.55%-1.38%-0.31%-1.18%-3.03%+3.09%-2.88%-1.67%-6.88%
2014-0.09%+2.70%+0.02%+0.87%+0.26%+0.85%-1.96%+0.83%-3.13%+1.02%-0.73%-1.64%-1.15%
2013+1.53%-0.66%+0.42%+2.77%-1.18%-2.47%+2.63%-0.83%+1.79%+2.54%+0.44%+0.81%+7.91%
2012+2.14%