Index Level | 1 Day (%) | MTD (%) | QTD (%) | YTD (%) | |
---|---|---|---|---|---|
1 yr (%) | 3 yr (%) | 5 yr (%) | 10 yr (%) | |
---|---|---|---|---|
Constituent | Coupon Rate (%) | Maturity Date | Weight (%) |
---|---|---|---|
United States Treasury Note/Bond | 4.62 | 02/15/2035 | 0.51 |
United States Treasury Note/Bond | 4.25 | 11/15/2034 | 0.49 |
United States Treasury Note/Bond | 4.38 | 05/15/2034 | 0.48 |
United States Treasury Note/Bond | 1.62 | 05/15/2031 | 0.46 |
United States Treasury Note/Bond | 3.88 | 08/15/2034 | 0.45 |
United States Treasury Note/Bond | 2.88 | 05/15/2032 | 0.44 |
United States Treasury Note/Bond | 1.88 | 02/15/2032 | 0.44 |
United States Treasury Note/Bond | 1.38 | 11/15/2031 | 0.44 |
United States Treasury Note/Bond | 4.00 | 02/15/2034 | 0.44 |
United States Treasury Note/Bond | 4.00 | 02/28/2030 | 0.43 |
Launch Date: Sep 3, 2019 | |
---|---|
Coupon | 2.76% |
Effective Duration (years) | 6.62 |
Years to Maturity | 8.60 |
Yield to Maturity | 3.69% |
Quality | AA |
Number of Bonds | 916 |
Par Value (USD billions) | 30,915.23 |
Top 10 Issues as of Jun 30, 2025 | 4.50% |
Holdings | % of total net assets |
---|---|
Sovereign | 98.97 |
Other | 1.03 |
Holdings | % of total net assets |
---|---|
Developed Americas | 58.863 |
Developed Europe | 35.793 |
Developed Asia | 4.974 |
Middle East & Africa | 0.37 |
Country | % of total net assets |
---|---|
USD | 57.052 |
EUR | 27.181 |
GBP | 7.424 |
KRW | 2.512 |
CAD | 2.221 |
AUD | 1.622 |
SGD | 0.444 |
ILS | 0.367 |
CHF | 0.349 |
NZD | 0.33 |
DKK | 0.22 |
SEK | 0.164 |
NOK | 0.086 |
HKD | 0.029 |
Holdings | % of total net assets |
---|---|
AAA | 68.37 |
AA+ | 0.953 |
AA | 2.942 |
AA- | 15.481 |
A | 0.134 |
A- | 4.093 |
BBB+ | 0.778 |
BBB | 5.161 |
BBB- | 1.019 |
NR | 1.069 |