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FEHY ETF — Holdings & Analysis

The FlexShares ESG & Climate High Yield Corporate Core Index Fund (FEHY) is an equity ETF with $0.00B in assets under management and an expense ratio of 0.23%. FEHY aims to reflect the performance of U.S. dollar-denominated high-yield corporate bonds issued by companies demonstrating specific ESG characteristics, while providing broad-market exposure to the U.S. high-yield corporate bond market. FEHY stands out with its focus on ESG factors within the high-yield corporate bond space, offering investors a blend of income generation and responsible investing.

FlexShares ESG & Climate High Yield Corporate Core Index Fund (FEHY) ETF — Price, Holdings & Analysis

The FlexShares ESG & Climate High Yield Corporate Core Index Fund (FEHY) is an equity ETF with $0.00B in assets under management and an expense ratio of 0.23%. FEHY aims to reflect the performance of U.S. dollar-denominated high-yield corporate bonds issued by companies demonstrating specific ESG characteristics, while providing broad-market exposure to the U.S. high-yield corporate bond market. FEHY stands out with its focus on ESG factors within the high-yield corporate bond space, offering investors a blend of income generation and responsible investing.

ETF Overview

The underlying index seeks to reflect the performance of a selection of U.S.-dollar-denominated high-yield corporate bonds issued by companies that exhibit certain ESG characteristics, while also seeking to provide broad-market, core exposure to U.S.-dollar-denominated high-yield corporate bond of U.S. and non-U.S. issuers. Under normal circumstances, the fund will invest at least 80% of its total assets in the securities of the underlying index. The fund is non-diversified.
FEHY seeks to track the performance of an index composed of U.S. dollar-denominated high-yield corporate bonds from companies that meet certain ESG criteria. The fund invests at least 80% of its total assets in securities of the underlying index. This ETF provides exposure to high-yield corporate bonds, typically considered riskier than investment-grade bonds, but with the potential for higher returns. FEHY's investment strategy incorporates ESG considerations, screening issuers based on environmental, social, and governance factors. As of the latest data, the fund's sector allocation is heavily concentrated in Cash & Others, representing 100% of the portfolio. Country exposure is entirely in 'Other' countries, also at 100%. With only one holding, FEHY's strategy is quite concentrated. This fund is non-diversified.

Risk Metrics

FEHY presents several risk factors to consider. The fund's concentration in a single holding significantly amplifies risk, as the performance is tied directly to that one security. The fund's sector allocation is entirely in Cash & Others, which may not provide the diversification benefits typically associated with bond funds. With a Beta (3Y) of 0.00, FEHY has demonstrated very low volatility relative to the broader market, but this may be misleading given the fund's concentrated nature. The expense ratio of 0.23% will create a drag on performance over time, reducing net returns to investors. Past performance does not guarantee future results.

Expense Ratio

0.23%

Sector Allocation

  • Cash & Others: 100.0%
  • Other: 100.0%

Dividend Yield

10.88%
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Risk Metrics

  • Beta: 0.00

Questions & Answers

What is FEHY and what does it track?

The FlexShares ESG & Climate High Yield Corporate Core Index Fund (FEHY) is an ETF that aims to track the performance of a selection of U.S. dollar-denominated high-yield corporate bonds. These bonds are issued by companies that meet certain ESG (Environmental, Social, and Governance) criteria. The fund seeks to provide investors with exposure to the high-yield corporate bond market while incorporating ESG considerations into the investment process. FEHY is non-diversified and, under normal circumstances, invests at least 80% of its total assets in the securities of the underlying index.

What is the expense ratio for FEHY?

The expense ratio for FEHY is 0.23%. This means that for every $10,000 invested in the fund, investors will pay $23 in annual fees to cover the fund's operating expenses. While it's difficult to find a direct category average for ESG-focused high-yield corporate bond ETFs, the expense ratio appears competitive compared to broader high-yield bond ETFs, where expense ratios can range from 0.20% to over 0.50%.

What are the top holdings in FEHY?

As of the latest data, FEHY only has one holding, representing 100% of the fund's portfolio. This indicates a highly concentrated investment strategy. Investors should be aware of the significant concentration risk associated with this fund, as its performance is heavily reliant on the performance of this single holding. Further details on the specific holding would be needed to assess its individual risk profile.

Is FEHY a good long-term investment?

Evaluating FEHY as a long-term investment requires careful consideration of its unique characteristics. The fund's focus on ESG factors may appeal to investors seeking responsible investments. However, the fund's concentrated holdings and sector allocation introduce significant risk. With a dividend yield of 10.88%, FEHY offers a potentially attractive income stream, but investors should weigh this against the fund's overall risk profile and expense ratio of 0.23%. Past performance does not guarantee future results.

How does FEHY compare to similar ETFs?

FEHY differentiates itself from other high-yield ETFs through its ESG focus and concentrated investment approach. Many high-yield ETFs offer broader diversification across numerous holdings and sectors. FEHY's expense ratio of 0.23% is competitive, but the fund's small AUM of $0.00B may raise concerns about liquidity and trading costs. Investors should compare FEHY's ESG screening process and investment strategy to those of other ESG-focused bond ETFs to determine the best fit for their portfolio.

Does FEHY pay dividends?

Yes, FEHY does pay dividends. The fund's current dividend yield is 10.88%. This yield reflects the income generated by the fund's underlying holdings, distributed to investors as dividends. It's important to note that dividend yields can fluctuate based on market conditions and the performance of the fund's investments.