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  • Fund Type: ETF
  • Objective: Govt/Agency-Long Term
  • Asset Class: Debt
  • Geographic Focus: U.S.

iShares Barclays 20+ Year Treasury Bond Fund

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TLT:US

123.0200 USD 0.3800 0.31%

As of 20:04:01 ET on 05/29/2012. Mutual Fund NAVs include dividends.

Snapshot for iShares Barclays 20+ Year Treasury Bond Fund (TLT)

Bid: 123.0500 Open: 123.3900 High - Low: 123.8100 - 123.0000 Primary Exchange: NYSE Arca
Ask: 123.1000 Volume: 5,874,172 52-Week Range: 93.1400 - 125.0300 Beta vs LT11TRUU: 0.9784

ETF Chart for TLT

No chart data available.
  • TLT:US 123.0200
  • 1D
  • 1M
  • 1Y
123.4000
Interactive TLT Chart

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Fund Profile & Information for TLT

iShares Barclays 20+ Year Treasury Bond Fund is an exchange-traded fund incorporated in the USA. The Fund seeks results that correspond to the price and yield performance of the United States Treasury market as defined by the Barclays Capital 20+ Year Treasury Index. The Fund invests 95% of its assets in US Government bonds.

Inception Date: 2002-07-26 Telephone: 1-415-670-2000
Managers: SCOTT RADELL
Web Site: www.ishares.com

Fundamentals for TLT

NAV (on 2012-05-29) 123.2891
Assets (M) (on 2012-04-30) 2,924.6220
Shares out (M) 30.90
Market Cap (M) 3,801.32
% Premium -0.22
Average 52-Week % Premium 0.0102
Fund Leveraged N

Dividends for TLT

Dividend Type Income
Dividend Frequency Monthly
Last Dividend Net (on 2012-05-01) 0.2835
Dividend Yield (ttm) 3.0267

Performance for TLT

1-Month +5.14% 1-Year +31.88%
3-Month +5.53% 3-Year +13.60%
Year To Date +2.45% 5-Year +11.74%
Expense Ratio 0.15

Top Fund Holdings for TLT

Filing Date: 05/25/2012
Name Position Value % of Total
T 4 ⅜ 05/15/41 235,204 309,698,199 8.601%
T 4 ⅝ 02/15/40 220,679 301,299,261 8.367%
T 4 ¼ 11/15/40 231,436 298,584,731 8.292%
T 4 ⅜ 05/15/40 222,374 292,406,761 8.120%
T 4 ¾ 02/15/41 209,394 291,759,563 8.102%
T 4 ⅜ 11/15/39 217,323 285,643,086 7.933%
T 3 ⅞ 08/15/40 234,440 284,488,615 7.900%
T 3 ¾ 08/15/41 235,958 280,120,263 7.779%
T 4 ½ 08/15/39 161,736 216,596,982 6.015%
T 4 ¼ 05/15/39 158,927 204,840,751 5.689%

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

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