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Performance analysis of MYCL (SPDR SSGA My2032 Corporate Bond ETF)

Annual Return

Since Sep 24, 2024, MYCL has had an average annual return of +3.65%, underperforming the benchmark SPY, which returned +19.64% annual.

202620252024
+0.43%+9.02%-2.98%

Monthly Return

YearJanFebMarAprMayJunJulAugSepOctNovDecAnnually Total
2026+0.43%+1.29%-1.78%+0.34%+0.32%-0.14%+0.43%
2025+0.39%+1.94%+0%+0.26%+0.41%+1.73%+0.33%+1.23%+1.25%+0.30%+0.92%-0.09%+9.02%
2024-0.47%-2.29%+1.42%-1.63%-2.98%

Drawdown analysis of MYCL (SPDR SSGA My2032 Corporate Bond ETF)

The maximum drawdown for the MYCL was -4.38%, occurring on Jan 13, 2025. Recovery took 98 trading sessions.

The current MYCL drawdown is -1.27%.

DepthStartTo BottomBottomTo RecoverEndTotal
-4.38%Sep 24, 202475Jan 13, 202598Jun 4, 2025173
-2.77%Feb 27, 202619Mar 26, 2026OngoingOngoingOngoing
-1.12%Oct 28, 20256Nov 5, 202515Nov 26, 202521
-1.03%Jul 1, 20259Jul 15, 20255Jul 22, 202514
-0.77%Sep 15, 20258Sep 25, 202513Oct 14, 202521
-0.73%Jun 4, 20252Jun 6, 20254Jun 12, 20256
-0.65%Nov 26, 20258Dec 9, 202512Dec 26, 202520
-0.59%Jun 12, 20252Jun 16, 20254Jun 23, 20256
-0.52%Aug 13, 20256Aug 21, 20251Aug 22, 20257
-0.52%Jan 14, 20263Jan 20, 20268Jan 30, 202611
-0.36%Aug 4, 20254Aug 8, 20253Aug 13, 20257
-0.32%Aug 28, 20252Sep 2, 20251Sep 3, 20253
-0.30%Jul 22, 20252Jul 24, 20253Jul 29, 20255
-0.29%Dec 29, 20252Dec 31, 20259Jan 14, 202611
-0.20%Sep 11, 20251Sep 12, 20251Sep 15, 20252
-0.18%Jun 26, 20251Jun 27, 20251Jun 30, 20252
-0.17%Aug 22, 20251Aug 25, 20252Aug 27, 20253
-0.17%Feb 23, 20262Feb 25, 20262Feb 27, 20264
-0.15%Jan 30, 20262Feb 3, 20262Feb 5, 20264
-0.15%Jul 29, 20251Jul 30, 20252Aug 1, 20253
-0.11%Feb 10, 20261Feb 11, 20261Feb 12, 20262
-0.10%Oct 16, 20251Oct 17, 20251Oct 20, 20252
-0.09%Oct 22, 20251Oct 23, 20251Oct 24, 20252
-0.09%Sep 8, 20251Sep 9, 20251Sep 10, 20252
-0.08%Feb 17, 20261Feb 18, 20262Feb 20, 20263