HYSA fund flows

Monthly creations and redemptions for BondBloxx High Yield Income ETF, from the fund's SEC filings, Aug 2023 to Jul 2026.

Net flow, Jul 2026
+$14M
latest reported month
Latest 3 months
+$35M
+54.3% of assets
Latest 12 months
+$35M
+53.8% of assets
Net assets
$65M
as last reported
Months on file
36

Net flow by month

SEC filings

Month by month

MonthCreationsRedemptionsNet flowCumulativeNet assetsReturnFiled
Jul 2026$14M$0+$14M+$35M$65M−0.44%Sep 25, 2026
Jun 2026$21M$0+$21M+$21M—+0.10%Sep 25, 2026
May 2026$596K$0+$596K−$242K—+0.50%Sep 25, 2026
Apr 2026$0$595K−$595K−$838K$30M+1.71%Jun 26, 2026
Mar 2026$0$0$0−$243K—−1.31%Jun 26, 2026
Feb 2026$0$0$0−$243K—+0.06%Jun 26, 2026
Jan 2026$0$762K−$762K−$243K$31M+0.39%Mar 31, 2026
Dec 2025$607K$0+$607K+$519K—+0.55%Mar 31, 2026
Nov 2025$605K$0+$605K−$88K—+0.43%Mar 31, 2026
Oct 2025$453K$0+$453K−$693K$31M+0.08%Dec 22, 2025
Sep 2025$0$612K−$612K−$1.1M—+0.83%Dec 22, 2025
Aug 2025$0$0$0−$534K—+1.19%Dec 22, 2025
Jul 2025$0$0$0−$534K$31M+0.19%Sep 22, 2025
Jun 2025$0$0$0−$534K—+2.00%Sep 22, 2025
May 2025$0$0$0−$534K—+1.58%Sep 22, 2025
Apr 2025$1.5M$0+$1.5M−$534K$31M+0.07%Jun 20, 2025
Mar 2025$0$0$0−$2.0M—−1.23%Jun 20, 2025
Feb 2025$0$608K−$608K−$2.0M—+0.70%Jun 20, 2025
Jan 2025$904K$0+$904K−$1.4M$30M+1.19%Mar 28, 2025
Dec 2024$0$0$0−$2.3M—−0.70%Mar 28, 2025
Nov 2024$1.1M$0+$1.1M−$2.3M—+1.56%Mar 28, 2025
Oct 2024$457K$0+$457K−$3.4M$28M−0.73%Dec 27, 2024
Sep 2024$0$0$0−$3.8M—+1.52%Dec 27, 2024
Aug 2024$0$0$0−$3.8M—+1.29%Dec 27, 2024
Jul 2024$0$0$0−$3.8M$28M+2.18%Sep 20, 2024
Jun 2024$0$12M−$12M−$3.8M—+0.45%Sep 20, 2024
May 2024$0$0$0+$8.5M—+1.41%Sep 20, 2024
Apr 2024$595K$0+$595K+$8.5M$39M−1.34%Jun 20, 2024
Mar 2024$1.9M$0+$1.9M+$7.9M—+1.23%Jun 20, 2024
Feb 2024$4.3M$0+$4.3M+$6.0M—+0.27%Jun 20, 2024
Jan 2024$2.4M$0+$2.4M+$1.6M$33M+0.07%Mar 25, 2024
Dec 2023$455K$0+$455K−$753K—+3.27%Mar 25, 2024
Nov 2023$0$0$0−$1.2M—+4.36%Mar 25, 2024
Oct 2023$0$1.3M−$1.3M−$1.2M$29M−0.71%Dec 27, 2023
Sep 2023$0$0$0+$61K—−1.23%Dec 27, 2023
Aug 2023$61K$0+$61K+$61K—+0.02%Dec 27, 2023

Net flow is shares sold minus shares redeemed, in dollars. Net assets are reported for the last month of each filing period. Return is the share class's total return for the month as the fund reported it.

Fund data comes from each fund's SEC filings and issuer disclosures and is shown with the date it is as of. SEC portfolio and flow filings become public about 60 days after the period they cover. Nothing here is investment advice; see Terms.