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  • Fund Type: ETF
  • Objective: Region Fund-Geo Focused-Debt
  • Asset Class: Debt
  • Geographic Focus: Euro Countries

iShares Barclays Euro Government Bond 15-30

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IBCL:GR

178.8800 EUR 0.0200 0.01%

As of 14:56:42 ET on 05/22/2013.

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Snapshot for iShares Barclays Euro Government Bond 15-30 (IBCL)

Open: 179.4000 High - Low: 179.7400 - 177.6900 Primary Exchange: Xetra ETF
Volume: 0 52-Week Range: 158.0000 - 183.7900 Beta vs BCEX1T: 0.9278

ETF Chart for IBCL

No chart data available.
  • IBCL:GR 179.2900
  • 1D
  • 1M
  • 1Y
178.8600
Interactive IBCL Chart

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Fund Profile & Information for IBCL

iShares Barclays Euro Government Bond 15-30 is an open-end, UCITS III compliant exchange traded fund incorporated in Ireland. The Fund's objective is to provide a total return which reflects the return on on EMU government bonds. The Fund invests in a portfolio of investment grade EMU government fixed rate bonds which constitute the Barclays Euro Government Bond 15-30 Year Term.

Inception Date: 2007-03-15 Telephone: +44-20-7668-8007 Tel
Managers: -
Web Site: www.blackrock.com

Fundamentals for IBCL

NAV (on 2013-05-21) 178.8390
Assets (M) (on 2013-05-21) 82.1013
Shares out (M) 0.54
Market Cap (M) 96.60
% Premium 0.01
Average 52-Week % Premium -0.0472
Fund Leveraged N

Dividends for IBCL

Dividend Type 1st Interim
Dividend Frequency 3x a yr
Last Dividend Net (on 2013-04-24) 2.9421
Dividend Yield (ttm) 5.15%

Performance for IBCL

1-Month +1.14% 1-Year +12.87%
3-Month +5.38% 3-Year +7.21%
Year To Date +2.94% 5-Year +8.42%
Expense Ratio -

Top Fund Holdings for IBCL

Filing Date: 05/21/2013
Name Position Value % of Total
BTPS 6 05/01/31 4,644 5,514,424 5.803%
FRTR 5 ¾ 10/25/32 3,672 5,390,019 5.672%
FRTR 5 ½ 04/25/29 3,726 5,189,275 5.461%
FRTR 4 ½ 04/25/41 3,645 4,711,673 4.958%
BTPS 5 ¼ 11/01/29 4,266 4,680,740 4.926%
DBR 4 01/04/37 3,564 4,672,796 4.917%
DBR 4 ¾ 07/04/34 3,132 4,452,577 4.685%
FRTR 4 10/25/38 3,672 4,381,136 4.610%
FRTR 4 ¾ 04/25/35 3,294 4,335,398 4.562%
DBR 4 ¾ 07/04/40 2,565 3,825,569 4.026%

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

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