REAL-TIME GLOBAL RESEARCH
iBoxx HY Snapshot
Research evidence excerpt
iBoxx HY Snapshot
2 7 9 10 11 18 23 25 26 27
iBoxx HY Snapshot CreditPhilipDerivativeDobrinovStrategy
+1 212 723 2118
22-Jul-26
iBoxx HY CDX HY (5Y) Total
Sector Sector Weights Avg OAS (bp) Avg Price YTD TR
NAV OAS (bp) Yield # of Issuers # of Bonds Total Return Return Rating YTD TR
Current 401.10 278.32 7.34 452 1323 - - Basic Materials 5.9% 308 94.00 2.1% BB 1.9%
1W 400.90 281.80 7.30 452 1323 0.05% 0.09% Consumer Goods 6.0% 130 96.37 2.1% B 2.5%
1M 400.30 274.93 7.16 452 1319 0.20% 0.46% Consumer Services 32.5% 527 90.68 1.2% CCC 1.1%
3M 398.44 293.22 7.02 446 1310 0.67% 1.63% Financials 8.9% 209 94.99 1.6% CC -38.5%
6M 395.75 283.95 6.77 446 1330 1.35% 2.59% Health Care 14.0% 294 92.72 3.0% C 0.0%
1Y 380.99 297.80 7.08 428 1242 5.28% 7.34% Industrials 12.7% 162 95.89 1.0%
YTD 393.50 301.70 6.84 444 1323 1.93% 3.31% Oil & Gas 6.7% 124 97.84 4.4%
Technology 5.6% 154 95.58 1.3%
Cash vs CDX Basis (bps) Telecommunications 4.5% 1195 80.90 0.8%
CDX Cash Basis 6M Min 6M Max 6M Z Score 6M Percentile Utilities 3.1% 92 96.85 2.7%
5Y 306.79 278.32 28.47 1.78 58.10 0.18 60%
1Y
CDX- Cash Basis
8.0 iBoxx HY Yield and Duration 3.5 450 iBoxx HY OAS vs CDX HY Spread 60
7.0 3.3 400 50
6.0 350 40
3.1
5.0 300 30
2.9
4.0 Yield (LHS) 250 20
Duration (RHS) 2.7 10 3.0 200
Jul-25 Sep-25 Nov-25 Jan-26 Mar-26 May-26 0
2.0 2.5 Jul-25 Sep-25 Nov-25 Jan-26 Mar-26 May-26 Jul-26
Jul-25 Sep-25 Nov-25 Jan-26 Mar-26 May-26 Jul-26 CDX HY iBoxx HY
60% HY Composite Rating Distribution
HY Avg Sector OAS by Rating 9% CDX HY vs iBoxx HY vs iBoxx HY Rate Hedged Total Returns 7000 8%
50% Basic Materials 7%
6000 Consumer Goods 6%
40% Consumer Services 5% 5000
Core Financials 4%
30% 4000 Health Care 3%
Industrials 2%
20% 3000 Oil & Gas 1%
Technology 0% 2000 10% Telecommunications -1%
1000 Utilities -2%
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