CSJiShares 1-3 Year Credit Bond ETF(Exchange Traded Fund )
XTF Rating* 9.4
Price:$103.66 0.08(0.08%)
52 Week:$103.47 - $105.61
Volume: 326,508
Avg Daily Volume: 581,326
Market Cap: $10,813,752,000 Avg Trade Size: 435 shares
Fund Turnover: 179 days 6/19/2018 4:00:00 PM

iShares 1-3 Year Credit Bond ETF is an exchange-traded fund incorporated in the USA. The iShares 1-3 Year Credit Bond ETF seeks to track the investment results of an index composed of U.S. dollar-denominated, investment-grade corporate, sovereign, supranational, local authority and non-U.S. agency bonds with remaining maturities between one and three years.The Barclays U.S. 1-3 Year Credit Bond Index measures the performance of investment grade corporate debt and sovereign, supranational, local authority and non-U.S. agency bonds that are U.S. dollar denominated. The Index includes investment grade U.S. credit securities that have a remaining maturity of greater than or equal to 1 year and less than 3 years and have more than $250 million or more of outstanding face value.

Inception Date: 1/11/2007Geography: Global  Asset Class: Fixed Income
Primary Exchange: NASDAQ Stock MarketInvestment Philosophy: Passively ManagedDebt Issuer: Blend
Issuer: BlackRock, Inc.Underlying Index: Bloomberg Barclays 1-3 Year US Credit IndexCredit Grade: Investment Grade
Index Provider: Bloomberg L.P.Index Composition: Cap-WeightedMaturity: Short Term

Structural Integrity
Investment Metrics
Fund Holdings
Fund Exposure
News Headlines
CSJ Structural Integrity ranks in the 93rd percentile (among all 349 Fixed Income ETFs over past 6 months).
as of 4/30/2018 Value  Rank (%)
Expense Ratio 0.20% 
Average Bid Ask Ratio Premium Content 
Tracking Error Premium Content 
Concentration Risk Premium Content 
Market Impact Premium Content 
Efficiency Premium Content 
Cap Gains Dist Premium Content 
as of 6/18/2018  
Avg Number of Components   (range) 940   (863-1014)
Legal Structure Open-End Investment Company 
Annual Yield / SEC Yield 1.8% / 2.94%
Last Dividend PaidDate 0.18, 6/1/2018   See Distributions
Options / Futures Available Y  /  Y 
Short Interest / Days to Cover N.A. /  N.A.
Net Asset Value $10,811,505,176 
Premium (Discount) 0.02% 
*The XTF Rating for an ETF is based on statistical analysis of its structural integrity and investment metric giving a total range between 0 and 10 with 10 being the best. Read More.

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