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MYCLvsBSCZETF Comparison

ETF 1
MYCL

State Street SPDR My2032 Corporate Bond ETF

This fund is part of
US Corporate IG Bonds
-0.03%
VS
ETF 2
BSCZ

Invesco BulletShares 2035 Corporate Bond ETF

This fund is part of
US Corporate IG Bonds
-0.03%

State Street SPDR My2032 Corporate Bond ETF (MYCL) and Invesco BulletShares 2035 Corporate Bond ETF (BSCZ) belong to the same industry segment: US Corporate IG Bonds. MYCL's top 3 sector exposures are Finance, Technology and Consumer Non-Cyclicals. In contrast, BSCZ's top sector exposures are Finance, Technology and Healthcare. MYCL is more expensive with a Total Expense Ratio (TER) of 0.15%, versus 0.1% for BSCZ. MYCL is down -0.11% year-to-date (YTD) with +$6M in YTD flows. BSCZ performs worse with -0.78% YTD performance, and +$228M in YTD flows. Run a side-by-side ETF comparison of MYCL and BSCZ 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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MYCL vs BSCZ performance and flow charts

Performance

0.00.20.40.60.81.0%Jul 31Aug 7Aug 14Aug 21Aug 28

Cumulative Flows

0 M10 M20 M30 M40 M50 MJul 31Aug 7Aug 14Aug 21Aug 28

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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 08/31/2026
1M3MYTD1Y3Y5Y
Perf.
MYCL
BSCZ
+0.10%+0.24%
-0.57%-1.25%
-0.11%-0.78%
+2.48%+2.23%
n/an/a
n/an/a
Flows
MYCL
BSCZ
-+$48M
+$2M+$72M
+$6M+$228M
+$6M+$318M
--
--
Volatility and drawdown
3M1Y3Y5Y
Volatility
MYCL
BSCZ
+3.64%+4.85%
+3.55%+4.71%
n/an/a
n/an/a
Max drawdown
MYCL
BSCZ
-1.41%-2.20%
-2.69%-3.24%
n/an/a
n/an/a
Max drawdown duration
MYCL
BSCZ
63d63d
183d183d
n/an/a
n/an/a
Trading data

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MYCL
BSCZ
Last sale
9/1/2026 at 1:30 PM
$24.10
$19.89
Previous close
08/31/2026
$24.29
$19.98
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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MYCL
is actively managed and doesn’t replicate an index

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MYCL
BSCZ
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 1:30 PM
Live
Closed
MYCL
BSCZ
Last price
$24.10
$19.89
1D performance
-0.79%
-0.47%
AuM$12.14 M$323.75 M
E/R0.15%0.1%
Characteristics
MYCL
BSCZ
Management strategyActivePassive
ProviderState Street Investment ManagementInvesco
Benchmark-Invesco BulletShares USD Corporate Bond 2035 Index
N° of holdings109311
Asset class--
Trailing 12m distribution yield
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Inception dateSeptember 23, 2024June 10, 2025
ESGNoNo
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Exposure

Countries

MYCL
USA
91.47%
Other
8.53%
BSCZ
USA
93.01%
Other
6.99%

Sectors

MYCL
Finance
19.68%
Technology
16.6%
Consumer Non-Cycl.
13.14%
Utilities
10.66%
Consumer Cyclical.
8.91%
Industrials
7.02%
Other
23.99%
BSCZ
Finance
18.91%
Technology
15.67%
Healthcare
11.11%
Utilities
11.09%
Energy
10.43%
Industrials
8.08%
Other
24.72%
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Diversification

MYCL

Total weight of top 15 holdings out of 15

34.44%
BSCZ

Total weight of top 15 holdings out of 15

14.3%

Top 15 holdings

Data as of July 31, 2026
MYCL
ArcelorMittal, 6.8% 29nov2032, USD
3.12%
General Motors, 5.6% 15oct2032, USD
2.79%
Micron Technology, 2.703% 15apr2032, USD
2.61%
Kraft Heinz Foods, 5.2% 15mar2032, USD
2.55%
Oracle, 6.25% 9nov2032, USD
2.44%
NetApp, 5.5% 17mar2032, USD
2.36%
Philip Morris International, 5.75% 17nov2032, USD
2.25%
Advanced Micro Devices, 3.924% 1jun2032, USD
2.25%
HCA, 3.625% 15mar2032, USD
2.12%
Centerpoint Energy Houston Electric, 4.45% 1oct2032, USD (AI)
2.07%
Dicks Sporting Goods, 3.15% 15jan2032, USD
2.04%
Church & Dwight, 5.6% 15nov2032, USD
1.99%
AT&T Inc, 2.25% 1feb2032, USD
1.97%
Broadcom Inc, 4.3% 15nov2032, USD
1.94%
Pacific Gas & Electric, 5.9% 15jun2032, USD
1.93%
BSCZ
Meta Platforms, 4.875% 15nov2035, USD
2.23%
Oracle, 5.2% 26sep2035, USD (E)
1.32%
Alphabet, 4.7% 15nov2035, USD
1.22%
Amazon.com, 4.65% 20nov2035, USD
1.21%
Broadcom Inc, 5.2% 15jul2035, USD
0.87%
AbbVie, 4.5% 14may2035, USD
0.87%
Synopsys, 5.15% 1apr2035, USD
0.86%
AT&T Inc, 4.5% 15may2035, USD
0.84%
Verizon Communications, 5.25% 2apr2035, USD
0.81%
Verizon Communications, 4.78% 15feb2035, USD
0.77%
Marsh & McLennan, 5% 15mar2035, USD
0.72%
Charter Communications Operating, 6.384% 23oct2035, USD
0.72%
Merck & Co, 4.95% 15sep2035, USD
0.63%
Caterpillar, 5.2% 15may2035, USD
0.62%
Global Payments, 5.55% 15nov2035, USD
0.61%
Frequently asked questions about MYCL and BSCZ

How have the MYCL and BSCZ ETFs performed in 2026?

As of August 31, 2026, MYCL is down -0.11% year-to-date (YTD), while BSCZ has lost -0.78%. That puts MYCL better performer ahead so far this year.

Which ETF is attracting more investor money: MYCL or BSCZ?

Year-to-date, the MYCL ETF saw +$6M in flows, compared to +$228M for BSCZ.

Which ETF is more volatile: MYCL or BSCZ?

Over the past year, MYCL had a volatility of 3.55%, while BSCZ experienced 4.71%.

Which ETF is bigger: MYCL or BSCZ?

As of August 31, 2026, MYCL holds $12.14 M in assets under management (AUM), while BSCZ manages $323.75 M.

What sectors do the MYCL and BSCZ ETFs invest in?

MYCL leans toward sectors like Finance, Technology and Consumer Non-Cyclicals. Meanwhile, BSCZ focuses on Finance, Technology and Healthcare.

What are the top holdings of the MYCL ETF and BSCZ ETF?

MYCL top holdings include ArcelorMittal, 6.8% 29nov2032, USD, General Motors, 5.6% 15oct2032, USD and Micron Technology, 2.703% 15apr2032, USD. BSCZ holds in its top three: Meta Platforms, 4.875% 15nov2035, USD, Oracle, 5.2% 26sep2035, USD (E) and Alphabet, 4.7% 15nov2035, USD.

Which ETF is more diversified: MYCL or BSCZ?

MYCL holds 109 securities with 34.44% of its assets in the top 15. BSCZ has 311 securities and a top 15 weight of 14.3%.

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