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  • Fund Type: ETF
  • Objective: Emerging Market-Debt
  • Asset Class: Debt
  • Geographic Focus: Global

iShares J.P. Morgan $ Emerging Markets Bond Fund

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IUS7:GR

83.3600 EUR 0.4300 0.51%

As of 15:27:05 ET on 06/19/2013.

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Snapshot for iShares J.P. Morgan $ Emerging Markets Bond Fund (IUS7)

Open: 82.4600 High - Low: 83.4500 - 82.4600 Primary Exchange: Xetra ETF
Volume: 2,677 52-Week Range: 81.8400 - 97.0100 Beta vs JPEICORE: 0.8146

ETF Chart for IUS7

No chart data available.
  • IUS7:GR 83.3600
  • 1D
  • 1M
  • 1Y
83.7900
Interactive IUS7 Chart

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Fund Profile & Information for IUS7

iShares II plc - iShares J.P. Morgan $ Emerging Markets Bond Fund is an open-end UCITS III compliant exchange-traded fund incorporated in Ireland. The Fund's objective is to provide investors with a total return, taking into account both capital and income returns, which reflects the return of the J.P. Morgan $ Emerging Markets Bond Index.

Inception Date: 2009-03-17 Telephone: +44-20-7668-8007 Tel
Managers: DANIEL RUIZ
Web Site: www.blackrock.com

Fundamentals for IUS7

NAV (on 2013-06-18) 83.1250
Assets (M) (on 2013-06-18) 2,372.8390
Shares out (M) 21.31
Market Cap (M) 1,778.06
% Premium 0.80
Average 52-Week % Premium 0.3229
Fund Leveraged N

Dividends for IUS7

Dividend Type Income
Dividend Frequency Monthly
Last Dividend Net (on 2013-05-29) 0.4920
Dividend Yield (ttm) 5.14%

Performance for IUS7

1-Month -8.67% 1-Year -2.58%
3-Month -6.18% 3-Year +5.33%
Year To Date -7.05% 5-Year -
Expense Ratio 0.45

Top Fund Holdings for IUS7

Filing Date: 06/17/2013
Name Position Value % of Total
TURKEY 6 ⅞ 03/17/36 60,376 73,130,430 3.136%
PHILIP 7 ¾ 01/14/31 48,792 67,332,960 2.888%
RUSSIA 7 ½ 03/31/30 52,290 63,205,610 2.711%
PERU 6.55 03/14/37 44,608 56,875,200 2.439%
BRAZIL 7 ⅛ 01/20/37 42,173 53,981,440 2.315%
CROATI 6 ¾ 11/05/19 45,777 50,240,258 2.155%
COLOM 7 ⅜ 03/18/19 39,208 49,206,040 2.110%
INDON 6 ⅞ 01/17/18 41,286 47,788,545 2.049%
PETMK 5 ¼ 08/12/19 41,980 47,434,881 2.034%
INDON 6 ⅝ 02/17/37 40,834 46,754,930 2.005%

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

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