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GIGL ETF — Holdings & Analysis

Seeks a high level of total return consisting of capital appreciation and income. 0.30% expense ratio, $57M AUM, 221 holdings, inception 2025.

Goldman Sachs Corporate Bond ETF (GIGL) ETF — Price, Holdings & Analysis

Seeks a high level of total return consisting of capital appreciation and income. 0.30% expense ratio, $57M AUM, 221 holdings, inception 2025.

ETF Overview

Seeks a high level of total return consisting of capital appreciation and income.
Seeks a high level of total return consisting of capital appreciation and income. Goldman Sachs Corporate Bond ETF provides exposure to the fixed income market. The portfolio is well-diversified with 221 holdings.

Risk Metrics

The fund holds 221 positions, providing a moderate level of diversification. Heavy allocation to Cash & Others (100.0%) means sector-specific downturns could disproportionately affect performance. A beta of 0.00 indicates lower volatility relative to the broader market.

Expense Ratio

0.30%

Sector Allocation

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

Dividend Yield

0.00%
  • <a href="/etf/jpib">JPMorgan International Bond Opportunities ETF (JPIB)</a> — 0.50% expense ratio
  • <a href="/etf/bab">Invesco Taxable Municipal Bond ETF (BAB)</a> — 0.28% expense ratio
  • <a href="/etf/dyfi">IDX Dynamic Fixed Income ETF (DYFI)</a> — 1.12% expense ratio
  • <a href="/etf/bmdl">VictoryShares WestEnd Economic Cycle Bond ETF (BMDL)</a> — 0.56% expense ratio
  • <a href="/etf/bamb">Brookstone Intermediate Bond ETF (BAMB)</a> — 1.04% expense ratio
  • <a href="/etf/hybi">NEOS Enhanced Income Credit Select ETF (HYBI)</a> — 0.68% expense ratio
  • <a href="/etf/flcb">Franklin U.S. Core Bond ETF (FLCB)</a> — 0.15% expense ratio
  • <a href="/etf/bltd">Bluemonte Long Term Bond ETF (BLTD)</a> — 0.23% expense ratio
  • <a href="/etf/ginn">Goldman Sachs Innovate Equity ETF (GINN)</a> (Equity) — 0.50% expense ratio
  • <a href="/etf/grei">Goldman Sachs Future Real Estate and Infrastructure Equity ETF (GREI)</a> (Equity) — 0.75% expense ratio
  • <a href="/etf/gem">Goldman Sachs ActiveBeta Emerging Markets Equity ETF (GEM)</a> (Equity) — 0.59% expense ratio
  • <a href="/etf/gcln">Goldman Sachs Bloomberg Clean Energy Equity ETF (GCLN)</a> (Equity) — 0.45% expense ratio
  • <a href="/etf/gbuy">Goldman Sachs Future Consumer Equity ETF (GBUY)</a> (Equity) — 0.75% expense ratio
  • <a href="/etf/gsfp">Goldman Sachs Future Planet Equity ETF (GSFP)</a> (Equity) — 0.75% expense ratio

Risk Metrics

  • Beta: 0.00

Questions & Answers

What is Goldman Sachs Corporate Bond ETF (GIGL)?

Seeks a high level of total return consisting of capital appreciation and income. It holds 221 securities. With $57M in assets under management, it is a funds in its category.

What is the expense ratio for GIGL?

Goldman Sachs Corporate Bond ETF has an expense ratio of 0.30%, which is considered low for fixed income ETFs. This means for every $10,000 invested, annual fees would be approximately $30. Lower expense ratios generally lead to better long-term returns, all else being equal.

How long has GIGL been around?

Goldman Sachs Corporate Bond ETF was launched in 2025, making it 1 years old. It is a relatively newer fund with a shorter track record. It is managed by Goldman.

What is the current NAV of GIGL?

Goldman Sachs Corporate Bond ETF has a net asset value (NAV) of approximately $50.28 per share. The NAV represents the per-share value of the fund's underlying assets minus liabilities. Market price may differ slightly from NAV due to supply and demand dynamics during trading hours.

Is GIGL a good investment?

Goldman Sachs Corporate Bond ETF is a fixed income ETF with $57M in assets and 221 holdings. Fixed income ETFs generally provide more stable returns than equity funds but are sensitive to interest rate changes. When rates rise, bond prices typically fall, and vice versa. Whether it is suitable depends on your investment goals, risk tolerance, and time horizon. Consider consulting a financial advisor for personalized guidance.