While this will help to boost the overall yield for the fund, it will also make it more susceptible to default and interest rate risk as well. While ILTB includes hundreds of individual securities, this ETF actually only holds a fraction of the bonds that make up the underlying benchmark; ...
ILTB iShares Core 10+ Year USD Bond ETF Risk Follow759 followers $49.530.27 (+0.55%)3:59 PM 02/14/25 NYSEARCA | $USD | Post-Market: $48.75 -0.78 (-1.57%) 4:06 PM SummaryHoldingsRatingsMomentumExpensesDividendsRiskLiquidityPeersOptionsCharting Risk Grade and Underlying Metrics ILTB Risk Gra...
Dividend Yield Dividend Growth Dividend Safety Dividend History ILTB Dividend Growth Charting intervals 1Y 5Y 10Y ILTB Annual Dividend and Stock Split Combination chart with 2 data series. Chart represents ILTB Annual...
Universal 10+ Year Index (the "underlying index"). The underlying index measures the performance of U.S. dollar-denominated taxable bonds that are rated either investment-grade or high yield with remaining maturities greater than ten years. The fund will invest at least 80% of its assets in ...
Bonds:T-NOTE 10Y (10 year United States Treasury note) and GIND10YR (India Government Bond Generic Bid Yield 10 Year). Indices:S&P BSE SENSEX (S&P Bombay Stock Exchange Sensitive Index), NIFTY (National Stock Exchange of India's benchmark stock market index for Indian equity market) and ...
U.S. 10 Year Treasury Note -0.0020 4.2890% U.S. 30 Year Treasury Bond 0.0000 4.5860% Related Bonds - Maturity NamePrice ChangeYield Canada 1 Year Government Bond 0.0130 2.6090% Hong Kong 1 Year Government Bond -0.0400 3.2500% Germany 1 Year Government Bond -0.0290 2.1920% Korea 1 Year ...
5 Day -10.20% 1 Month -6.92% 3 Month -69.56% YTD -68.16% 1 Year -85.72% Currency Converter Amount: From: To: Convert Conversion Value Recent CryptoCurrency News MarketWatch Cryptocurrencies MicroStrategy Sells Preferred Stock to Buy Bitcoin. Why It Deserves a Look. Mar. 28,...
The iShares Core 1-5 Year USD Bond ETF seeks to track the investment results of an index composed of U.S. dollar-denominated bonds that are rated either investment grade or high yield with remaining maturities between one and five years. ...
Sector High Yield Geographic Allocation US Cumulative Performance Period Range Return Fund Avg 1-Week 42.03 - 42.31 -0.66% +0.51% 1-Month 42.03 - 42.52 -0.78% -1.48% 3-Month 41.62 - 42.52 +0.99% +2.65% 1-Year 38.95 - 42.52 +6.41% +3.53% 3-Year 33.20 - 42.52 +13.04% -0.33% ...
By Equity - Geographic Allocation Top 10 >50.0 (88.98%) 25.0-50.0 (10.69%) <2.0 (0.33%) By Fixed Income - Geographic Allocation Top 10 High Yield Corporates (22.26%) Investment Grade Corporates (18.74%) U.S. Treasury (9.28%) Mortgage-Backed Securities (1.63%) ...