iShares Core Global Aggregate Bond UCITS ETF CHF Hedged (Acc)
- ISIN
- IE00BD1JRY91
- Base currency
- CHF
- Currency hedged
- Yes
- Distributing
- No
- UCITS compliant
- Yes
- NAV as of 2022-06-27
- CHF4.68
- Annualized return rate
- -1.55% p.a. since inception
- Total NAV (CHF)
- 189.6 million
- Total expense ratio
- 0.1%
Investment strategy
The iShares Global Aggregate Bond UCITS ETF seeks to track the investment results of an index composed of global investment grade bonds.
Index | The Bloomberg Global Aggregate Bond Index |
---|---|
Structure | Physical |
Currency hedged | Yes |
Inception date | 2018-03-14 |
Use of income | Accumulating |
---|---|
Distribution frequency | – |
Domicile | Ireland |
Asset classes
Name | % |
---|---|
Fixed Income
|
87% |
Money Market
|
2% |
Cash Collateral and Margins
|
0% |
Sectors
Name | % |
---|---|
Treasuries
|
56% |
Agency Fixed Rate
|
11% |
Owned No Guarantee
|
5% |
Banking
|
3% |
Supranational
|
2% |
Local Authority
|
2% |
Government Guaranteed
|
1% |
Mortgage Collateralized
|
1% |
Consumer Non-Cyclical
|
1% |
Communications
|
1% |
Consumer Cyclical
|
1% |
Technology
|
1% |
Sovereign
|
1% |
Cash and/or Derivatives
|
0% |
Electric
|
0% |
Energy
|
0% |
Insurance
|
0% |
Capital Goods
|
0% |
Non-Agency CMBS
|
0% |
Transportation
|
0% |
Government Sponsored
|
0% |
Basic Industry
|
0% |
Reits
|
0% |
Finance Companies
|
0% |
Natural Gas
|
0% |
Agency CMBS
|
0% |
Financial Other
|
0% |
Public Sector Collateralized
|
0% |
Brokerage/Asset Managers/Exchanges
|
0% |
Utility Other
|
0% |
Industrial Other
|
0% |
Covered Other
|
0% |
Whole Business
|
0% |
Locations
Name | % |
---|---|
United States
|
33% |
Japan
|
12% |
China
|
8% |
France
|
4% |
United Kingdom
|
4% |
Germany
|
4% |
Italy
|
3% |
Canada
|
3% |
Ireland
|
2% |
Spain
|
2% |
Supranational
|
2% |
Australia
|
1% |
Korea (South)
|
1% |
Netherlands
|
1% |
Belgium
|
1% |
Switzerland
|
1% |
Indonesia
|
0% |
Austria
|
0% |
Sweden
|
0% |
Mexico
|
0% |
Malaysia
|
0% |
Thailand
|
0% |
Finland
|
0% |
Portugal
|
0% |
Denmark
|
0% |
Poland
|
0% |
New Zealand
|
0% |
Singapore
|
0% |
Norway
|
0% |
Saudi Arabia
|
0% |
Israel
|
0% |
Czech Republic
|
0% |
Qatar
|
0% |
Slovak Republic
|
0% |
United Arab Emirates
|
0% |
Colombia
|
0% |
Peru
|
0% |
Slovenia
|
0% |
Chile
|
0% |
Romania
|
0% |
Hungary
|
0% |
Hong Kong
|
0% |
Philippines
|
0% |
Panama
|
0% |
Latvia
|
0% |
Lithuania
|
0% |
Bermuda
|
0% |
Luxembourg
|
0% |
Croatia (Hrvatska)
|
0% |
India
|
0% |
Taiwan
|
0% |
Cyprus
|
0% |
Kuwait
|
0% |
Uruguay
|
0% |
Brazil
|
0% |
Kazakhstan
|
0% |
Name | Asset class | Sector | Location | Weight |
---|---|---|---|---|
B
BLK ICS USD LEAF AGENCY DIST
IE00BK8MB266
|
Money Market | Cash and/or Derivatives | Ireland | 1.9% |
F
FNMA 30YR 2021 PRODUCTION
None
|
Fixed Income | Agency Fixed Rate | United States | 0.79% |
C
CHINA PEOPLES REPUBLIC OF (GOVERNM
CND100036Q75
|
Fixed Income | Treasuries | China | 0.57% |
C
CHINA PEOPLES REPUBLIC OF (GOVERNM
CND100031JZ0
|
Fixed Income | Treasuries | China | 0.54% |
G
GNMA2 30YR 2021 PRODUCTION
None
|
Fixed Income | Agency Fixed Rate | United States | 0.52% |
G
GNMA2 30YR 2021 PRODUCTION
None
|
Fixed Income | Agency Fixed Rate | United States | 0.5% |
T
TREASURY NOTE
US91282CBB63
|
Fixed Income | Treasuries | United States | 0.49% |
F
FHLMC 30YR UMBS
None
|
Fixed Income | Agency Fixed Rate | United States | 0.48% |
F
FNMA 30YR 2021 PRODUCTION
None
|
Fixed Income | Agency Fixed Rate | United States | 0.4% |
T
TREASURY NOTE
US9128284F40
|
Fixed Income | Treasuries | United States | 0.39% |
Ex-date | Record date | Payment date | Dividend per share |
---|
Ticker | MIC | Currency |
---|---|---|
AGGS | XSWX | CHF |