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Ishares PLC - Ishares Treasury Bond Ucits ETF

SNA2
Current price
3.94 EUR -0.035 EUR (-0.87%)
ISIN IE00BK95B138
Category USD Government Bond
Exchange XETRA Stock Exchange
Capitalization 129 975 552 EUR
Yield for 12 month +0.80 %
1Y
3Y
5Y
10Y
15Y
SNA2
21.11.2021 - 28.11.2021

Ishares PLC - Ishares Treasury Bond Ucits ETF, a constituent of the ETF, is listed on the XETRA Stock Exchange. Its market capitalization stands at 129 975 552 EUR. Over the past year, it has generated a yield of +0.80 %. A significant allocation in cash assets underscores its liquidity position and risk management strategy. Turning to technical indicators, they offer a granular perspective on the fund's market behavior, historical trends, and potential forward momentum. For further metrics, refer to www.blackrock.com. For an in-depth analysis get premium access.

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Analytics

Total Assets

129 975 552 EUR

Net Expense Ratio

Annual Holdings Turnover

Asset HoldingSNA2

Cash

Long 0.28%
Short 0.14%
Net Assets 0.15%

The US stocks

Long -
Short -
Net Assets -

Stocks ex-US

Long -
Short -
Net Assets -

Bonds

Long 99.85%
Short -
Net Assets 99.85%

Other

Long -
Short -
Net Assets -

Efficiency SNA2

1y Volatility 6.15%
Returns YTD 0.11%
3y Volatility 5.93%
Returns 1Y 2.03%
3y ExpReturn -1.38%
Returns 3Y -0.37%
3y SharpRatio -0.78%
Returns 5Y -0.67%
Returns 10Y 0.00%

Dividend Analytics SNA2

Dividend growth over 5 years

Continuous growth

1 year

Dividend History SNA2

1 year
3 years
5 years
10 years
21.11.2021 - 28.11.2021

Technical indicators SNA2

For 52 weeks

3.54 EUR 3.77 EUR
50 Day MA 3.66 EUR
200 Day MA 3.65 EUR