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| Index | Bloomberg US Treasury Coupons |
| Investment focus | Bonds, USD, United States, Government, 0-1 |
| Fund size | EUR 20 m |
| Total expense ratio | 0.06% p.a. |
| Replication | Physical (Sampling) |
| Legal structure | ETF |
| Investment approach | Long-only |
| Sustainability | No |
| Fund currency | USD |
| Currency risk | Currency unhedged |
| Volatility 1 year (in EUR) | 5.89% |
| Inception/ Listing Date | 21 January 2020 |
| Distribution policy | Distributing |
| Distribution frequency | Quarterly |
| Fund domicile | Ireland |
| Fund Provider | Invesco |
| Fund Structure | Open-ended Investment Company (OEIC) |
| UCITS compliance | Yes |
| Administrator | BNY Mellon Fund Services (Ireland) Designated Activity Company |
| Investment Advisor | Invesco Capital Management LLC |
| Custodian Bank | BNY Mellon Trust Company (Ireland) Limited |
| Revision Company | PricewaterhouseCoopers |
| Fiscal Year End | 31 December |
| Swiss representative | BNP Paribas, Paris, succursale de Zurich |
| Swiss paying agent | BNP Paribas, Paris, succursale de Zurich |
| Germany | No tax rebate |
| Switzerland | ESTV Reporting |
| Austria | Tax Reporting Fund |
| UK | UK Reporting |
| Italy | 12.5% |
| Indextype | Total return index |
| Swap counterparty | - |
| Collateral manager | |
| Securities lending | Yes |
| Securities lending counterparty |
| USA20/27 | 3.37% |
| US91282CME83 | 3.19% |
| 3.875% NTS 31/03/2027 USD (AZ-2027) | 3.18% |
| 3.75% NTS 30/04/2027 USD (BA-2027) | 3.16% |
| 3.5% NTS 30/09/2026 USD (BH-2026) | 3.15% |
| USA FX 4.125% FEB27 USD | 3.05% |
| US2Y1 | 3.00% |
| 4.125% NTS 31/10/2026 USD (BJ-2026) | 2.99% |
| 4.375% NTS 31/07/2026 USD (BE-2026) | 2.92% |
| US91282CLH24 | 2.85% |
| United States | 80.57% |
| Other | 19.43% |
| Other | 100.00% |
| YTD | +4.57% |
| 1 month | +1.23% |
| 3 months | +3.30% |
| 6 months | +3.56% |
| 1 year | +6.45% |
| 3 years | +9.87% |
| 5 years | +22.10% |
| Since inception (MAX) | +15.44% |
| 2025 | -7.75% |
| 2024 | +11.85% |
| 2023 | +1.36% |
| 2022 | +6.69% |
| Current dividend yield | 3.86% |
| Dividends (last 12 months) | EUR 1.37 |
| Period | Dividend in EUR | Dividend yield in % |
|---|---|---|
| 1 Year | EUR 1.37 | 3.94% |
| 2025 | EUR 1.50 | 3.85% |
| 2024 | EUR 1.87 | 5.10% |
| 2023 | EUR 1.73 | 4.56% |
| 2022 | EUR 0.59 | 1.63% |
| Volatility 1 year | 5.89% |
| Volatility 3 years | 6.76% |
| Volatility 5 years | 7.57% |
| Return per risk 1 year | 1.10 |
| Return per risk 3 years | 0.47 |
| Return per risk 5 years | 0.54 |
| Maximum drawdown 1 year | -3.16% |
| Maximum drawdown 3 years | -11.97% |
| Maximum drawdown 5 years | -12.27% |
| Maximum drawdown since inception | -13.09% |
| Listing | Trade Currency | Ticker | Bloomberg / iNAV Bloomberg Code | Reuters RIC / iNAV Reuters | Market Maker |
|---|---|---|---|---|---|
| London Stock Exchange | GBX | TRIS | - - | - - | - |
| gettex | EUR | TRD1 | - - | - - | - |
| Borsa Italiana | EUR | TREI | TREI IM TRISIN | TREI.MI 3Q0XINAV.DE | Flow Traders |
| London Stock Exchange | USD | TREI | TREI LN TREIIN | TREI.L 3Q0WINAV.DE | Flow Traders |
| London Stock Exchange | GBP | - | TRIS LN TRISIN | TRIS.L 3Q0XINAV.DE | Flow Traders |
| SIX Swiss Exchange | USD | TREI | TREI SW TREIIN | TREI.S 3Q0WINAV.DE | Flow Traders |
| XETRA | EUR | TRD1 | TRD1 GY TRD1IN | TRD1.DE 3Q0VINAV.DE | Flow Traders |
| Fund name | Fund Size in m € (AuM) | TER p.a. | Distribution | Replication |
|---|---|---|---|---|
| iShares USD Treasury Bond 7-10yr UCITS ETF (Dist) | 3,095 | 0.07% p.a. | Distributing | Sampling |
| iShares USD Treasury Bond 1-3yr UCITS ETF (Dist) | 2,263 | 0.07% p.a. | Distributing | Sampling |
| Vanguard USD Treasury Bond UCITS ETF Accumulating | 1,336 | 0.05% p.a. | Accumulating | Sampling |
| iShares USD Treasury Bond 0-1yr UCITS ETF USD (Dist) | 565 | 0.07% p.a. | Distributing | Sampling |
| iShares USD Treasury Bond UCITS ETF USD (Dist) | 559 | 0.07% p.a. | Distributing | Sampling |