News iShares $ Floating Rate Bond UCITS ETF Acc - MXN Hedged
ETF
0A0A
IE00BDDRDZ46
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Market Closed -
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5-day change
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1st Jan Change
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- MXN
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-.--%
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-.--%
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-
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10-01 |
Vanguard Specialized Funds - Vanguard Real Estate ETF Reports Earnings Results for the Half Year Ended July 31, 2026
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CI
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10-01 |
HSBC lowers 2026 average gold price forecast to $4,490/oz
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RE
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10-01 |
Entrenched premium leaves gold primed to climb despite surge in US bond yields
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RE
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10-01 |
Volatility control funds near record equity exposure, raising selloff risk
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RE
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10-01 |
Bond selloff could mean outsized portfolio changes at quarter's end
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RE
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10-01 |
Citi raises bitcoin, ether forecasts on strong crypto activity
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RE
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09-30 |
Montrose: Millionaires bought Investor and bottom-fished in Hemnet
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FW
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09-30 |
Ping an of China Asset Management (Hong Kong) Company Limited Launches Ping an Ai Select ETF and Ping an Healthcare 50 Select ETF
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CI
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09-29 |
Fubon Dow Jones Taiwan High-Quality Dividend 30 ETF announces Monthly dividend, payable on November 12, 2026
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CI
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09-29 |
Taishin Securities Co Ltd. - Tip Customized Taiwan Esg High Dividend Small/Mid-Cap ETF announces Monthly dividend, payable on November 06, 2026
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CI
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09-29 |
Taishin Securities Investment Trust Co. - Taishin Taiwan AI High Dividend and Momentum ETF announces Monthly dividend, payable on November 06, 2026
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CI
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09-29 |
Nomura Asset management Taiwan - Next Funds Nomura Taiwan Momentum High Dividend ETF announces Monthly dividend, payable on November 13, 2026
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CI
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09-29 |
Blackrock Files Initial Registration Statements to Add Etf Share Classes to Five Active Mutual Funds
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CI
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09-29 |
First Trust Exchange Traded Fund IV - First Trust Enhanced Short Maturity ETF Declares Monthly Distribution, Payable on October 2, 2026
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CI
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09-29 |
Inside ETFs: Can cybersecurity keep up with rogue AI?
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RE
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IE00BDDRDZ46
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Total Expense Ratio
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0.0015
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Asset Class
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Fixed Income
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Currency
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Provider
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Underlying
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Bloomberg U.S. Floating Rate Note < 5 Years Total Return Index Value Unhedged - USD
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Autres ETFs
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Dividend Policy
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Capitalisation
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Replication Method
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Physique
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Jurisdiction
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Date of creation
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30/08/2018
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Bonds Characteristics
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Credit Rating
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AuM (MXN)
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13.66B
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AuM 1M
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13.66B
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AuM 3 months
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13.66B
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AuM 6 months
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13.66B
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AuM 12 months
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13.66B
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