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BBCBvsBBBLETF Comparison

ETF 1
BBCB

JPMorgan BetaBuilders USD Investment Grade Corporate Bond ETF

This fund is part of
US Corporate IG Bonds
+0.04%
VS
ETF 2
BBBL

BondBloxx BBB Rated 10+ Year Corporate Bond ETF

This fund is part of
US Corporate IG Bonds
+0.04%

JPMorgan BetaBuilders USD Investment Grade Corporate Bond ETF (BBCB) and BondBloxx BBB Rated 10+ Year Corporate Bond ETF (BBBL) belong to the same industry segment: US Corporate IG Bonds. BBCB's top 3 sector exposures are Finance, Utilities and Technology. In contrast, BBBL's top sector exposures are Telecommunications, Energy and Finance. BBCB is less expensive with a Total Expense Ratio (TER) of 0.04%, versus 0.19% for BBBL. BBCB is down -0.51% year-to-date (YTD) with +$14M in YTD flows. BBBL performs worse with -2.3% YTD performance, and +$2M in YTD flows. Run a side-by-side ETF comparison of BBCB and BBBL 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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BBCB vs BBBL performance and flow charts

Performance

-1.0-0.50.00.51.0%Aug 3Aug 10Aug 17Aug 24Aug 31

Cumulative Flows

01,000,0002,000,0003,000,0004,000,0005,000,0006,000,0007,000,000Aug 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 09/02/2026
1M3MYTD1Y3Y5Y
Perf.
BBCB
BBBL
-0.15%-0.11%
-1.26%-3.42%
-0.51%-2.30%
+1.98%+1.15%
+16.67%n/a
-1.23%n/a
Flows
BBCB
BBBL
+$7M-
+$8M+$2M
+$14M+$2M
+$13M+$2M
+$161K-
+$7M-
Volatility and drawdown
3M1Y3Y5Y
Volatility
BBCB
BBBL
+4.25%+7.68%
+4.07%+7.56%
+5.41%n/a
+6.67%n/a
Max drawdown
BBCB
BBBL
-2.05%-5.02%
-2.84%-5.53%
-4.71%n/a
-22.08%n/a
Max drawdown duration
BBCB
BBBL
65d64d
185d309d
282dn/a
1604dn/a
Trading data

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BBCB
BBBL
Last sale
9/2/2026 at 1:32 PM
$45.62
Previous close
09/02/2026
$45.60
Consolidated volume
09/02/2026
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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BBCB
BBBL
Tracking error
Tracking difference
1 year cumulative return difference
Best
Worst
Daily return difference
Average
Worst
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Main metrics
Last update 9/2/2026 at 1:32 PM
Live
Closed
BBCB
BBBL
Last price
$45.62
1D performance
+0.05%
AuM$51.78 M$6.85 M
E/R0.04%0.19%
Characteristics
BBCB
BBBL
Management strategyPassivePassive
ProviderJ.P. Morgan Asset ManagementBondbloxx Investment Management LLC
BenchmarkBloomberg U.S. Corporate Bond IndexBloomberg US Corporate BBB 10+ Year Index
N° of holdings1297880
Asset classBondsFixed Income
Trailing 12m distribution yield
Join
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Inception dateDecember 12, 2018January 25, 2024
ESGNoNo
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Exposure

Countries

BBCB
USA
86.8%
Other
13.2%
BBBL
USA
85.49%
Other
14.51%

Sectors

BBCB
Finance
35.97%
Utilities
10.22%
Technology
8.86%
Healthcare
8.47%
Energy
7.02%
Other
29.46%
BBBL
Telecommunication.
18.26%
Energy
13.33%
Finance
12.4%
Technology
9.72%
Consumer Non-Cycl.
9.5%
Utilities
8.64%
Other
28.15%
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Diversification

BBCB

Total weight of top 15 holdings out of 15

7.13%
BBBL

Total weight of top 15 holdings out of 15

7.65%

Top 15 holdings

Data as of July 31, 2026
BBCB
HSBC Holdings plc, 5.402% 11aug2033, USD
0.60%
Morgan Stanley, 3.772% 24jan2029, USD (I)
0.56%
Citibank N.A., 4.838% 6aug2029, USD
0.56%
PNC Financial Services Group, 3.45% 23apr2029, USD
0.55%
Wells Fargo, 6.491% 23oct2034, USD (W)
0.52%
Goldman Sachs, 4.223% 1may2029, USD
0.46%
Morgan Stanley, 2.943% 21jan2033, USD (I)
0.45%
NextEra Energy Capital Holdings, 1.9% 15jun2028, USD
0.45%
The Home Depot, 2.7% 15apr2030, USD
0.44%
Lloyds Banking Group, 3.574% 7nov2028, USD
0.44%
Enbridge, 2.5% 1aug2033, USD
0.44%
Bank of America Corporation, 2.687% 22apr2032, USD (N)
0.43%
HSBC Holdings plc, 2.206% 17aug2029, USD
0.42%
Mizuho Financial Group, 2.869% 13sep2030, USD
0.42%
T-Mobile USA, 3.5% 15apr2031, USD
0.41%
BBBL
CVS Health, 5.05% 25mar2048, USD
0.80%
Goldman Sachs, 6.75% 1oct2037, USD
0.69%
Space Exploration Technologies, 5.875% 15jul2036, USD
0.68%
Boeing, 5.805% 1may2050, USD
0.62%
CVS Health, 4.78% 25mar2038, USD
0.53%
AT&T Inc, 3.5% 15sep2053, USD
0.53%
AT&T Inc, 3.55% 15sep2055, USD
0.52%
Oracle, 6.7% 4feb2056, USD
0.51%
Amgen, 5.65% 2mar2053, USD
0.47%
AT&T Inc, 3.65% 15sep2059, USD
0.43%
Boeing, 5.93% 1may2060, USD
0.41%
AT&T Inc, 3.8% 1dec2057, USD
0.40%
CVS Health, 5.125% 20jul2045, USD
0.38%
Amgen, 4.663% 15jun2051, USD
0.35%
Verizon Communications, 3.55% 22mar2051, USD
0.33%
Frequently asked questions about BBCB and BBBL

How have the BBCB and BBBL ETFs performed in 2026?

As of September 2, 2026, BBCB is down -0.51% year-to-date (YTD), while BBBL has lost -2.3%. That puts BBCB better performer ahead so far this year.

Which ETF is attracting more investor money: BBCB or BBBL?

Year-to-date, the BBCB ETF saw +$14M in flows, compared to +$2M for BBBL.

Which ETF is more volatile: BBCB or BBBL?

Over the past year, BBCB had a volatility of 4.07%, while BBBL experienced 7.56%.

Which ETF is bigger: BBCB or BBBL?

As of September 2, 2026, BBCB holds $51.78 M in assets under management (AUM), while BBBL manages $6.85 M.

What sectors do the BBCB and BBBL ETFs invest in?

BBCB leans toward sectors like Finance, Utilities and Technology. Meanwhile, BBBL focuses on Telecommunications, Energy and Finance.

What are the top holdings of the BBCB ETF and BBBL ETF?

BBCB top holdings include HSBC Holdings plc, 5.402% 11aug2033, USD, Morgan Stanley, 3.772% 24jan2029, USD (I) and Citibank N.A., 4.838% 6aug2029, USD. BBBL holds in its top three: CVS Health, 5.05% 25mar2048, USD, Goldman Sachs, 6.75% 1oct2037, USD and Space Exploration Technologies, 5.875% 15jul2036, USD.

Which ETF is more diversified: BBCB or BBBL?

BBCB holds 1297 securities with 7.13% of its assets in the top 15. BBBL has 882 securities and a top 15 weight of 7.65%.

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