$15.13
Closed
-(-)

At close

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About

SJB was created on 2011-03-21 by ProShares. The fund's investment portfolio concentrates primarily on high yield fixed income. SJB provides inverse exposure, reset daily, to a modified market-value-weighted index comprising US-dollar-denominated corporate high-yield bonds with maturities between 3 and 15 years.
Company

ProShares

Asset class

Fixed Income

Inception date

2011

Investment segment

High Yield

ISIN

US74347R1317

Key stats

Open

$15.14

Volume

17.88K

AUM

$55.14M

Prev. close

$15.11

Expense ratio

0.95%

P/E

0.00

$15.10

Day’s Range

$15.15

$15.05

52W Range

$15.71

What’s in the fund

6
Total holdings
NET OTHER ASSETS (LIABILITIES)
0.00%
PROSHARES GENIUS MNY MKT ETF
0.00%
MARKIT IBOXX $ LIQUID HIGH YIELD INDEX (HYG) SWAP CITIBANK NA
-3.54%
MARKIT IBOXX $ LIQUID HIGH YIELD INDEX (HYG) SWAP GOLDMAN SACHS INTERNATIONAL
-7.83%
MARKIT IBOXX $ LIQUID HIGH YIELD INDEX (HYG) SWAP UBS AG
-43.95%
HIGH YIELD INDEX (HYG) SWAP BNP PARIBAS
-45.00%

Returns

Performance
_
Difference
_
ProShares Short High Yield

Jun

30

Dividends

The last payment date was Jun 30, 2026

Div. per Share

$0.18

Div. Yield

1.16%

Div. Growth YoY

426.25%

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