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IGOV

iShares International Treasury Bond ETF · NAS

  • Category Bond
  • Expense Ratio 0.35%
  • Listing Date Jan 23, 2009
  • Volume 37,529.0
  • Market Cap (AUM) $520.59M

Performance

+0.72%

1W

+2.37%

1M

-0.38%

3M

+2.13%

6M

-4.94%

YTD

-1.33%

1Y

Top Holdings

  • Name
    Symbol
    %Assets
  • Denmark 4.5% 15-NOV-2039N/A1.06%
  • Denmark 0.5% 15-NOV-2027N/A0.68%
  • Sweden 1.0% 12-NOV-2026N/A0.54%
  • Denmark 0.0% 15-NOV-2031N/A0.54%
  • Canada Treasury Bonds 0.25% 01-MAR-2026N/A0.53%
  • Government of Israel 1.0% 31-MAR-2030N/A0.52%
  • Government of Ireland 1.0% 15-MAY-2026N/A0.51%
  • Government of Ireland 1.1% 15-MAY-2029N/A0.51%
  • Sweden 0.75% 12-NOV-2029N/A0.47%
  • New Zealand 3.5% 14-APR-2033N/A0.46%

Technical Analysis of IGOV 2024-05-10

Overview:

In analyzing the technical indicators for IGOV over the last 5 days, we will delve into the trend, momentum, volatility, and volume indicators to provide a comprehensive outlook on the possible stock price movement in the coming days. By examining these key indicators, we aim to offer valuable insights and predictions for informed deci...

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