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| Index | Bloomberg US Short Treasury |
| Investment focus | Bonds, USD, United States, Government, 0-1 |
| Fund size | EUR 20 m |
| Total expense ratio | 0.05% p.a. |
| Replication | Physical (Sampling) |
| Legal structure | ETF |
| Strategy risk | Long-only |
| Sustainability | No |
| Fund currency | USD |
| Currency risk | Currency unhedged |
| Volatility 1 year (in EUR) | 7.80% |
| Inception/ Listing Date | 9 July 2020 |
| Distribution policy | Accumulating |
| Distribution frequency | - |
| Fund domicile | Luxembourg |
| Fund Provider | Amundi ETF |
| Fund Structure | Company With Variable Capital (SICAV) |
| UCITS compliance | Yes |
| Administrator | CACEIS Bank, Luxembourg Branch |
| Investment Advisor | |
| Custodian Bank | CACEIS Bank, Luxembourg Branch |
| Revision Company | PWC |
| Fiscal Year End | 30 September |
| Swiss representative | CACEIS (Switzerland) SA |
| Swiss paying agent | CACEIS Bank, Paris, succursale de Nyon / Suisse |
| Germany | No tax rebate |
| Switzerland | ESTV Reporting |
| Austria | Tax Reporting Fund |
| UK | UK Reporting |
| Indextype | Total return index |
| Swap counterparty | - |
| Collateral manager | |
| Securities lending | Yes |
| Securities lending counterparty |
| 0% BILL 06/11/2025 USD | 3.78% |
| 0% BILL 26/12/2025 USD | 3.25% |
| 0% BILL 28/11/2025 USD | 3.24% |
| US912797QS94 | 2.47% |
| 0% BILL 11/12/2025 USD | 2.47% |
| 0% BILL 18/12/2025 USD | 2.46% |
| 0% BILL 25/11/2025 USD | 2.39% |
| US912797RN98 | 2.37% |
| US912797QQ39 | 2.37% |
| US912797RP47 | 2.37% |
| Other | 100.00% |
| Other | 100.00% |
| Broker | Rating | Execution fee | Account fee | |
|---|---|---|---|---|
| 0.00€ | 0.00€ | View offer* | |
| 0.00€ | 0.00€ | View offer* | |
| 0.00€ | 0.00€ | View offer* | |
| 0.00€ | 0.00€ | View offer* | |
| 0.00€ | 0.00€ | View offer* |
| Broker | Rating | Order fee | ETF savings plans | |
|---|---|---|---|---|
| 0.00€ | 2966 | View offer* | |
| 0.00€ | 1523 | View offer* | |
| 1.00€ | 2640 | View offer* | |
| 0.00€ | 1880 | View offer* | |
| 0.00€ | 1617 | View offer* |
| YTD | -7.95% |
| 1 month | -1.01% |
| 3 months | +0.82% |
| 6 months | +0.92% |
| 1 year | -6.77% |
| 3 years | +3.52% |
| 5 years | +19.26% |
| Since inception (MAX) | +13.36% |
| 2024 | +11.93% |
| 2023 | +1.22% |
| 2022 | +6.79% |
| 2021 | +8.40% |
| Volatility 1 year | 7.80% |
| Volatility 3 years | 7.18% |
| Volatility 5 years | 7.54% |
| Return per risk 1 year | -0.87 |
| Return per risk 3 years | 0.16 |
| Return per risk 5 years | 0.48 |
| Maximum drawdown 1 year | -11.97% |
| Maximum drawdown 3 years | -11.97% |
| Maximum drawdown 5 years | -12.30% |
| Maximum drawdown since inception | -12.30% |
| Listing | Trade Currency | Ticker | Bloomberg / iNAV Bloomberg Code | Reuters RIC / iNAV Reuters | Market Maker |
|---|---|---|---|---|---|
| gettex | EUR | PR1T | - - | - - | - |
| Bolsa Mexicana de Valores | MXN | - | IPR1T | IPR1TINAV.PA | Societe Generale Corporate and Investment Banking |
| London Stock Exchange | USD | PR1T | PR1T LN IPR1T | AMPR1T.L IPR1TINAV.PA | Societe Generale Corporate and Investment Banking |
| XETRA | EUR | PR1T | PR1T GY IPR1T | PR1T.DE IPR1TEURINAV=SOLA | Societe Generale Corporate and Investment Banking |
| Fund name | Fund Size in m € (AuM) | TER p.a. | Distribution | Replication |
|---|---|---|---|---|
| Franklin US Treasury 0-1 Year UCITS ETF USD (Acc) | 3 | 0.05% p.a. | Accumulating | Sampling |