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AGGMvsMYCJETF Comparison

ETF 1
AGGM

iShares Government/Credit Bond ETF

This fund is part of
US Aggregate Bonds
-0.23%
VS
ETF 2
MYCJ

State Street SPDR My2030 Corporate Bond ETF

This fund is part of
US Corporate IG Bonds
-0.2%

iShares Government/Credit Bond ETF (AGGM) belongs to the US Aggregate Bonds segment. State Street SPDR My2030 Corporate Bond ETF (MYCJ) is part of the US Corporate IG Bonds segment. AGGM's top 3 sector exposures are Sovereign, Finance and Utilities. In contrast, MYCJ's top sector exposures are Finance, Consumer Non-Cyclicals and Energy. AGGM is less expensive with a Total Expense Ratio (TER) of 0.03%, versus 0.15% for MYCJ. AGGM is down -0.72% year-to-date (YTD) with -$15M in YTD flows. MYCJ performs better with 0.25% YTD performance, and +$26M in YTD flows. Run a side-by-side ETF comparison of AGGM and MYCJ below, and assess how they stack up in performance, liquidity, risk, exposure, holdings, and more, helping you select the best ETF for your investments.

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AGGM vs MYCJ performance and flow charts

Performance

-0.20.00.20.40.6%Aug 3Aug 10Aug 17Aug 24Aug 31

Cumulative Flows

-20 M-15 M-10 M-5 M0 MAug 3Aug 10Aug 17Aug 24Aug 31

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Daily, global ETF data for advanced analysis or integration into apps (API), from our partner Trackinsight.

Historic performance and flows
Data as of 09/01/2026
1M3MYTD1Y3Y5Y
Perf.
AGGM
MYCJ
-0.13%-0.15%
-0.92%-0.25%
-0.72%+0.25%
+1.32%+2.07%
+11.72%n/a
-3.68%n/a
Flows
AGGM
MYCJ
-$20M+$2M
-$10M+$10M
-$15M+$26M
-$26M+$29M
-$74M-
-$119M-
Volatility and drawdown
3M1Y3Y5Y
Volatility
AGGM
MYCJ
+3.75%+2.58%
+3.59%+2.50%
+4.87%n/a
+5.83%n/a
Max drawdown
AGGM
MYCJ
-1.70%-0.82%
-2.74%-1.96%
-4.82%n/a
-18.42%n/a
Max drawdown duration
AGGM
MYCJ
64d64d
184d184d
318dn/a
1813dn/a
Trading data

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AGGM
MYCJ
Last sale
9/1/2026 at 7:00 PM
$24.28
Previous close
08/31/2026
$24.45
Consolidated volume
08/31/2026
Average volume
30 days
Average discount or premium
30 days
Average Bid/Ask spread
30 days
Replication quality
Data as of August 31, 2026
1-year trailing difference

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MYCJ
is actively managed and doesn’t replicate an index

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AGGM
MYCJ
Tracking error
Tracking difference
1 year cumulative return difference
Best
Worst
Daily return difference
Average
Worst
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Main metrics
Last update 9/1/2026 at 7:00 PM
Live
Closed
AGGM
MYCJ
Last price
$24.28
1D performance
-0.69%
AuM$106.52 M$48.56 M
E/R0.03%0.15%
Characteristics
AGGM
MYCJ
Management strategyPassiveActive
ProvideriSharesState Street Investment Management
BenchmarkBloomberg U.S. Aggregate Government/Credit Index-
N° of holdings3288207
Asset classBonds-
Trailing 12m distribution yield
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Inception dateJanuary 5, 2007September 23, 2024
ESGNoNo
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Exposure

Countries

AGGM
USA
91.41%
Other
8.59%
MYCJ
USA
91.25%
Other
8.75%

Sectors

AGGM
Sovereign
62.7%
Finance
13.45%
Other
23.85%
MYCJ
Finance
18.2%
Consumer Non-Cycl.
11.98%
Energy
11.5%
Healthcare
10.87%
Technology
10.85%
Industrials
10.18%
Other
26.42%
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Diversification

AGGM

Total weight of top 15 holdings out of 15

9.28%
MYCJ

Total weight of top 15 holdings out of 15

25.71%

Top 15 holdings

Data as of July 31, 2026
AGGM
FHLB, 3.25% 16nov2028, USD (4973)
0.76%
USA, Notes 4% 28feb2030, USD (H-2030)
0.71%
USA, Notes 4.625% 15feb2035, USD (B-2035)
0.67%
USA, Notes 3.875% 15aug2034, USD (E-2034)
0.64%
USA, Notes 4.25% 15may2035, USD (C-2035)
0.62%
USA, Notes 4.375% 31dec2029, USD (AH-2029)
0.61%
USA, Notes 4.5% 15nov2033, USD (F-2033)
0.61%
USA, Notes 4% 15feb2034, USD (B-2034)
0.60%
USA, Notes 4.25% 15nov2034, USD (F-2034)
0.60%
USA, Notes 3.875% 31jul2027, USD (BE-2027)
0.60%
USA, Notes 1.875% 15feb2032, USD (B-2032)
0.59%
USA, Notes 4.25% 31jan2030, USD (U-2030)
0.58%
USA, Notes 3.625% 31aug2027, USD (BG-2027)
0.58%
USA, Notes 3.375% 15may2033, USD (C-2033)
0.56%
USA, Notes 3.875% 30apr2030, USD (Y-2030)
0.56%
MYCJ
Boeing, 5.15% 1may2030, USD
2.69%
AB InBev Worldwide, 3.5% 1jun2030, USD
2.45%
CVS Health, 5.125% 21feb2030, USD
2.10%
T-Mobile USA, 3.875% 15apr2030, USD
1.94%
Enterprise Products Operating, 2.8% 31jan2030, USD
1.83%
Viatris, 2.7% 22jun2030, USD
1.80%
Energy Transfer, 6.4% 1dec2030, USD
1.74%
HCA, 3.5% 1sep2030, USD
1.68%
Pioneer Natural Resources, 1.9% 15aug2030, USD
1.58%
Pacific Gas & Electric, 4.55% 1jul2030, USD (29)
1.48%
British American Tobacco, 6.343% 2aug2030, USD
1.42%
AT&T Inc, 4.3% 15feb2030, USD
1.26%
Broadcom Inc, 4.35% 15feb2030, USD
1.25%
Xilinx, 2.375% 1jun2030, USD
1.25%
Takeoff Merger Sub, 4.85% 24mar2031, USD
1.24%
Frequently asked questions about AGGM and MYCJ

How have the AGGM and MYCJ ETFs performed in 2026?

As of September 1, 2026, AGGM is down -0.72% year-to-date (YTD), while MYCJ has returned 0.25%. That puts MYCJ better performer ahead so far this year.

Which ETF is attracting more investor money: AGGM or MYCJ?

Year-to-date, the AGGM ETF saw -$15M in flows, compared to +$26M for MYCJ.

Which ETF is more volatile: AGGM or MYCJ?

Over the past year, AGGM had a volatility of 3.59%, while MYCJ experienced 2.5%.

Which ETF is bigger: AGGM or MYCJ?

As of September 1, 2026, AGGM holds $106.52 M in assets under management (AUM), while MYCJ manages $48.56 M.

What sectors do the AGGM and MYCJ ETFs invest in?

AGGM leans toward sectors like Sovereign and Finance. Meanwhile, MYCJ focuses on Finance, Consumer Non-Cyclicals and Energy.

What are the top holdings of the AGGM ETF and MYCJ ETF?

AGGM top holdings include FHLB, 3.25% 16nov2028, USD (4973), USA, Notes 4% 28feb2030, USD (H-2030) and USA, Notes 4.625% 15feb2035, USD (B-2035). MYCJ holds in its top three: Boeing, 5.15% 1may2030, USD, AB InBev Worldwide, 3.5% 1jun2030, USD and CVS Health, 5.125% 21feb2030, USD.

Which ETF is more diversified: AGGM or MYCJ?

AGGM holds 3289 securities with 9.28% of its assets in the top 15. MYCJ has 207 securities and a top 15 weight of 25.71%.

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