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  • Fund Type: ETF
  • Objective: Govt/Corp Intermediate
  • Asset Class: Debt
  • Geographic Focus: European Union

ETFlab IBOXX EUR SOV DIV 3-5

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ETFES35:GR

105.7000 EUR 0.0200 0.02%

As of 14:56:53 ET on 06/19/2013.

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Snapshot for ETFlab IBOXX EUR SOV DIV 3-5 (ETFES35)

Open: 105.7400 High - Low: 105.7900 - 105.1300 Primary Exchange: Xetra ETF
Volume: 0 52-Week Range: 98.0400 - 107.3400 Beta vs IES35TR: 1.1152

ETF Chart for ETFES35

No chart data available.
  • ETFES35:GR 105.7000
  • 1D
  • 1M
  • 1Y
105.6800
Interactive ETFES35 Chart

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Fund Profile & Information for ETFES35

The ETFlab iBoxx € Liquid Sovereign Diversified 3-5 is a UCITS III compliant exchange traded fund incorporated in Germany. The Fund's objective is to track the performance of the iBoxx € Liquid Sovereign Diversified 3-5 Index (Price Index). The iBoxx EUR Liquid Sovereign Diversified indices are based exclusively on bonds contained in the universe of the iBoxx EUR indices

Inception Date: 2009-03-09 Telephone: +49-89-32729-3333
Managers: -
Web Site: www.etflab.de

Fundamentals for ETFES35

NAV (on 2013-06-19) 105.7960
Assets (M) (on 2013-06-19) 7.6575
Shares out (M) 0.07
Market Cap (M) 7.65
% Premium -0.09
Average 52-Week % Premium 0.0137
Fund Leveraged N

Dividends for ETFES35

Dividend Type Income
Dividend Frequency Quarter
Last Dividend Net (on 2013-04-10) 0.6200
Dividend Yield (ttm) 2.75%

Performance for ETFES35

1-Month -1.21% 1-Year +6.93%
3-Month +0.27% 3-Year +3.65%
Year To Date +0.71% 5-Year -
Expense Ratio 0.15

Top Fund Holdings for ETFES35

Filing Date: 06/19/2013
Name Position Value % of Total
FRTR 3 ¾ 04/25/17 530 593,179 7.655%
SPGB 4 ¼ 10/31/16 392 417,568 5.388%
SPGB 3.8 01/31/17 386 400,468 5.168%
SPGB 5 ½ 07/30/17 347 393,785 5.082%
OBL 0 ½ 04/07/17 #163 377 378,990 4.891%
NETHER 4 07/15/18 315 374,068 4.827%
BTPS 3 ½ 11/01/17 363 372,352 4.805%
OBL 0 ½ 02/23/18 #165 356 355,801 4.591%
BTPS 4 ¾ 06/01/17 331 354,508 4.575%
BTNS 1 ¾ 02/25/17 338 352,558 4.550%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

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