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SCHJ
US8085247141
Passive ETFFixed Income

SCHJ ETF · Schwab 1-5 Year Corporate Bond ETF

The SCHJ Exchange Traded Fund (ETF) is provided by Schwab ETFs. It is built to track an index: Bloomberg U.S. 1–5 Year Corporate Bond Index. The SCHJ ETF provides physical exposure, so by buying it you actually own parts of all the 682 underlying holdings. This share class generates a stream of income by distributing dividends.
Last update Yesterday at 1:30 PM UTC
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CLOSED
This fund is part ofUS Corporate IG Bonds1M perf.-0.81%
Last price
$24.68
1M perf.
-0.66%
1M flows
+€17M
AuM
€635M
E/R
0.03%
Rating
ESG Consensus®
esg grade icon
SCHJ
$24.68

Performance & flows

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December 12, 2025 → March 12, 2026
00.000.200.400.600.801.001.201.401.601.80%JANFEBMAR
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SCHJ
$24.70
+0.39%
US Corporate IG Bonds
+0.16%

Historic performance and flows

1M3M1Y3Y5YMTDQTDYTD
Perf.
-0.66%
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+0.39%
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+5.38%
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+17.58%
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+12.39%
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-0.96%
+0.04%
+0.04%
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Flows

Key fund info

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This ETF's jurisdiction country is not in your region (Europe and Middle East) · 
Main characteristics
CUSIP
808524714
ISIN
US8085247141
AuM
€635M
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E/R
0.03%
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Replication rating
icon
ESG Consensus®
esg grade icon
icon
More details
NAV
3/12/2026
$24.70
1D NAV change
-0.33%
Dividend policy
Replication method
Direct (Physical)
Replication model
Optimized sampling
No. of holdings
682
Inception date
10/10/2019
Jurisdiction
United States
Distribution
United States
Legal structure
Open-end Fund
Base currency
USD
Dividend distribution
Trailing 12-month distr. yield
Distribution frequency
Last distribution
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Classification
Product type
Benchmark
Bloomberg U.S. 1–5 Year Corporate Bond Index
Asset class
Factors
N/A
Investment strategy
The fund’s goal is to track as closely as possible, before fees and expenses, the total return of an index that measures the performance of the short-term U.S. corporate bond market.
Tax optimisation
PEA
France
UK Reporting Status
United Kingdom
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Risk profile

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Historical risk/return profile

3M1Y3Y5Y
Returns
+0.39%
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+5.38%
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+17.58%
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+12.39%
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Volatility
Perf./Volatility
Max drawdown
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Synthetic Risk and Reward Indicator (SRRI)
UCITS
N/A
PRIIPS
N/A
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Exposure

Countries
USA
80.45%
United Kingdom
8.00%
Japan
3.31%
Canada
2.36%
Australia
1.04%
Other
4.84%
Sectors
Banks
38.92%
Pharmaceutical preparation and biotechnology
6.07%
Communication services
4.97%
Holding companies
4.07%
Financial markets
3.35%
It services and computer programming
3.08%
Insurance and reinsurance
2.53%
Leasing and rental
2.23%
Unavailable
10.57%
Other
24.22%
Diversification
Total weight of top 15 holdings out of 682
Top 15 holdings
Data as of January 31, 2026
T-Mobile USA, 3.875% 15apr2030, USD
CVS Health, 4.3% 25mar2028, USD
Bank of America Corporation, 3.419% 20dec2028, USD
AbbVie, 3.2% 21nov2029, USD
Wells Fargo, 5.574% 25jul2029, USD (W)
US95000U3W12
Boeing, 5.15% 1may2030, USD
Bank of America Corporation, 5.202% 25apr2029, USD (N)
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Amgen, 5.15% 2mar2028, USD
US61776NVG59
Pfizer, 4.45% 19may2028, USD
Citigroup, 4.45% 29sep2027, USD (G)
Morgan Stanley, 4.431% 23jan2030, USD (I)
Bank of America Corporation, 4.271% 23jul2029, USD (N)
Goldman Sachs, 4.223% 1may2029, USD
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Sustainability

Integrates ESG criteria
No
SDG

ESG Consensus® by Conser

Data as of December 31, 2025
Methodology

Our partner Conser gathers the industry's consensus on the business practices of the underlying holdings. We have computed the following metrics about SCHJ ETF's sustainability, based on their methodology.

Learn more about Conser

ESG Consensus®
esg grade icon

ESG Consensus® is based on the Final Sustainability Grade, which itself consists of 10 grades. Our partner Conser calculates the exact grade, based on market intelligence, using their proprietary ESG Consensus® methodology.


SCHJ’s has a Final Sustainability Grade of either C+, C, C-, or D.

This fund’s exact Final Sustainability Grade is available in Trackinsight Enterprise.
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Holdings review
63.34% of holdings have positive scoring
36.66% of holdings have negative scoring
28.47%
32.42%
10.54%
17.63%
8.49%
Consensus levels
Strong
Medium
Weak
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Replication

Trackinsight replication rating:
Replication quality
Calculated over 12m, as of February 27, 2026
Tracking error
Tracking difference
Replication information
Index
Bloomberg U.S. 1–5 Year Corporate Bond Total Return Index - USD
Index ticker
BUC1TRUU Index
Index dividend policy
GTR
Replication method
Replication model
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Issuer

Schwab ETFs
Schwab ETFs ID Card
Number of funds
34
Total AuM
€448.65B
Expense ratio range
0.03% - 0.59%
Average expense ratio
0.1232%

Frequently asked questions about SCHJ

What does Schwab 1-5 Year Corporate Bond ETF, SCHJ, invest in?

SCHJ is a Passive ETF. This ETF provides exposure to Investment Grade Corporate Bonds.

Which benchmark or index does SCHJ replicate?

SCHJ tracks the Bloomberg U.S. 1–5 Year Corporate Bond Total Return Index - USD, through a optimized sampling replication method.

What is the Total Expense ratio (TER) of SCHJ?

SCHJ carries a total expense ratio (TER) of 0.03%, indicating the annual cost for holding the fund.

When was SCHJ launched?

SCHJ was introduced to the market on October 10, 2019. It trades on United States

Who is the ETF issuer of SCHJ?

Schwab 1-5 Year Corporate Bond ETF, SCHJ, is provided by Schwab ETFs. Learn more about Schwab ETFs here.

What is the current assets under management (AUM) of SCHJ?

SCHJ oversees €635M in assets as of March 12, 2026.

How has SCHJ performed lately?

Based on data from March 12, 2026, SCHJ returned -0.66% over the past month, 0.39% over the last three months and 0.04% year-to-date.

What are the latest inflows or outflows for SCHJ?

As of March 12, 2026, SCHJ recorded net flows of +€17M over the last month and +€53M year-to-date.

Does SCHJ distribute dividends?

SCHJ follows a distributing dividend policy, meaning it pays out income to investors. As of March 12, 2026, its 12-month trailing yield was 4.46%.

What are the main country or region exposures of SCHJ?

As of January 31, 2026, SCHJ has significant geographic allocations in USA, United Kingdom and Japan.

In which sector or theme does SCHJ invest in?

As of January 31, 2026, SCHJ focuses largely on Banks, Pharmaceutical preparation and biotechnology and Communication services.

How many securities does SCHJ hold and how diversified is it?

As of January 31, 2026, SCHJ holds 682 positions in its portfolio, with 5.85% of assets concentrated in its top 15 holdings.

What are the main positions in SCHJ?

As of January 31, 2026, SCHJ top three holdings include T-Mobile USA, 3.875% 15apr2030, USD, CVS Health, 4.3% 25mar2028, USD and Bank of America Corporation, 3.419% 20dec2028, USD.

What is the base currency of SCHJ?

The base currency of SCHJ is USD.

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