

$59.09
TER
0.03%
Low CostRend. 1A
+0.22%
AUM
$48.6B
High LiquidityProcura fornecer um nível moderado e sustentável de renda corrente. Investe principalmente em títulos do Tesouro dos EUA. Risco moderado de taxa de juros, com vencimento médio ponderado em dólares de 3 a 10 anos.
Principais posições e exposição setorial
United States Treasury Note/Bond
4.63% · 02/15/2035
United States Treasury Note/Bond
4.38% · 05/15/2034
United States Treasury Note/Bond
4.25% · 11/15/2034
United States Treasury Note/Bond
4.25% · 08/15/2035
United States Treasury Note/Bond
4.25% · 05/15/2035
United States Treasury Note/Bond
4% · 02/15/2034
United States Treasury Note/Bond
3.88% · 08/15/2034
United States Treasury Note/Bond
4.5% · 11/15/2033
United States Treasury Note/Bond
4% · 11/15/2035
United States Treasury Note/Bond
4.13% · 02/15/2036
Principais posições e exposição setorial
United States Treasury Note/Bond
4.63% · 02/15/2035
United States Treasury Note/Bond
4.38% · 05/15/2034
United States Treasury Note/Bond
4.25% · 11/15/2034
United States Treasury Note/Bond
4.25% · 08/15/2035
United States Treasury Note/Bond
4.25% · 05/15/2035
United States Treasury Note/Bond
4% · 02/15/2034
United States Treasury Note/Bond
3.88% · 08/15/2034
United States Treasury Note/Bond
4.5% · 11/15/2033
United States Treasury Note/Bond
4% · 11/15/2035
United States Treasury Note/Bond
4.13% · 02/15/2036