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MarketScreener Homepage  >  Funds  >  Xetra  >  BLACKR    CBUE   IE00BGPP6473

BLACKR

(CBUE)
Delayed Quote. Delayed Xetra - 06/03 07:12:24 am
5.3302 EUR   -0.08%
 SummaryQuotesChartsCompanyStatisticsComponents 
Quotes 5-day view   Delayed Quote. Delayed Xetra
05/27/2020 05/28/2020 05/29/2020 06/02/2020 06/03/2020 Date
5.332(c) 5.3298(c) 5.3334(c) 5.3344(c) 5.3302 Last
+0.10% -0.04% +0.07% +0.02% -0.08% Change
31 145 44 864 33 685 70 0 Volume
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Chart BLACKR
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BLACKR Technical Analysis Chart | CBUE | IE00BGPP6473 | MarketScreener
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Toute l'actualité de la Zone économique
07:45aTSX futures higher ahead of Bank of Canada rate decision
RE
07:16aNEWS HIGHLIGHTS : Top Global Markets News of the Day
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06:40aStock futures buoyed by optimism over economic revival
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06:07aGlobal Stocks Rise as Hopes Build for More Stimulus
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02:48aWarner, ZoomInfo Enliven IPO Scene -- WSJ
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02:48aWHAT'S NEWS : Business & Finance -- WSJ
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06/02NEWS HIGHLIGHTS : Top Global Markets News of the Day
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06/02NEWS HIGHLIGHTS : Top Global Markets News of the Day
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All the latest ETF news
06/02TRACKINSIGHT : Silver ETFs continue their rally, supported by rising industrial ..
TI
06/02Green light everywhere despite Trump’s “unprecedented” attack against Beijing
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06/02TRACKINSIGHT : Boost in performance for Hong Kong stocks
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06/01TRACKINSIGHT : Momentum continues for Indian ETFs
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06/01TRACKINSIGHT : Strong inflows in corporate 1-10Y bonds
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05/29TRACKINSIGHT : Indian stocks snap another session of gains
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05/29TRACKINSIGHT : Surge of inflows into MSCI EAFE ETFs
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05/28TRACKINSIGHT : Banks ETFs jump with economic hopes
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Rating TrackInsight  TrackInsightTM ETF Ratings – Methodology
NOT YET RATED
Investment objective
The Fund seeks to track the performance of an index composed of US Dollar denominated government bonds issued by the US Treasury.
Investment themes
Asset Classes Bonds
Geographical Zones United_States
Development Developed
Bond Types Government
Maturities 3-7Y
Credit Ratings Investment Grade
Weighting Schemes Market Cap Weighted
Description
Index ETF ICE U.S. Treasury 3-7 Year Total Return Index - USD
Currency EUR
Management fees 0.1%
AuM (2020-05-07) 80.06 M EUR
Provider iShares
Features and characteristics
Jurisdiction Ireland
Structure Open-end Investment Company
Date of creation 2009-06-03
Dividend Policy Distribution
Replication Method Direct (Physical)
Replication Model Optimized Sampling
AuM evolution (2020-05-07)
Last one 80.06 M EUR
1-month 58.37 M EUR
3 months 37.21 M EUR
6 months 40.54 M EUR
1-year 1.07 M EUR