FT.com / Managed Funds
Funds  >  iShares  >  iShares  >  iShares Government Bond 7-10 EUR Inc NAV

Fund DirectoryFund Quick SearchSector Analysis Fund Screener
Fund Directory


iShares Government Bond 7-10 EUR Inc NAV
  View PDF Print More Docs Add to Portfolio
Analyse ETFs Select Fund(0) Compare Now
 
  153.14 EUR
Nav
-0.28 /  -0.18%
Change / % Change**
157.29 - 146.68
52 Week Range
+6.46 +4.40%
52 Week Change
 
  Latest Price Information as at: 05/11/2009
 
Overview of Fund Details, Performance and Risk
 
  At a glance  
  iShares € Government Bond 7-10 is a fixed income fund that offers you exposure to a diversified basket of government bonds, with maturities ranging from 7 to 10 years. iShares € Government Bond 7-10 can give you immediate access to liquid, euro-denominated investment grade government bonds issued by France, Germany, Italy, Spain and the Netherlands. This fund can enhance diversification away from equities and provide steady income at regular time periods.  
Charting Information
iShares Government Bond 7-10 EUR Inc NAV 8.09%iShares Government Bond 7-10 EUR Inc NAV 8.09%iShares Government Bond 7-10 EUR Inc NAV 8.75%iShares Government Bond 7-10 EUR Inc NAV 8.66%iShares Government Bond 7-10 EUR Inc NAV 9.64%iShares Government Bond 7-10 EUR Inc NAV 10.28%iShares Government Bond 7-10 EUR Inc NAV 9.83%iShares Government Bond 7-10 EUR Inc NAV 10.56%iShares Government Bond 7-10 EUR Inc NAV 11.02%iShares Government Bond 7-10 EUR Inc NAV 10.75%iShares Government Bond 7-10 EUR Inc NAV 10.19%iShares Government Bond 7-10 EUR Inc NAV 10.01%iShares Government Bond 7-10 EUR Inc NAV 9%iShares Government Bond 7-10 EUR Inc NAV 9.13%iShares Government Bond 7-10 EUR Inc NAV 9.71%iShares Government Bond 7-10 EUR Inc NAV 9.32%iShares Government Bond 7-10 EUR Inc NAV 9.6%iShares Government Bond 7-10 EUR Inc NAV 9.66%iShares Government Bond 7-10 EUR Inc NAV 9.61%iShares Government Bond 7-10 EUR Inc NAV 9.49%iShares Government Bond 7-10 EUR Inc NAV 9.12%iShares Government Bond 7-10 EUR Inc NAV 9.24%iShares Government Bond 7-10 EUR Inc NAV 8.19%iShares Government Bond 7-10 EUR Inc NAV 7.61%iShares Government Bond 7-10 EUR Inc NAV 8.64%iShares Government Bond 7-10 EUR Inc NAV 9%iShares Government Bond 7-10 EUR Inc NAV 7.92%iShares Government Bond 7-10 EUR Inc NAV 7.48%iShares Government Bond 7-10 EUR Inc NAV 7.67%iShares Government Bond 7-10 EUR Inc NAV 7.87%iShares Government Bond 7-10 EUR Inc NAV 8.34%iShares Government Bond 7-10 EUR Inc NAV 8.22%iShares Government Bond 7-10 EUR Inc NAV 7.88%iShares Government Bond 7-10 EUR Inc NAV 7.45%iShares Government Bond 7-10 EUR Inc NAV 7.3%iShares Government Bond 7-10 EUR Inc NAV 6.61%iShares Government Bond 7-10 EUR Inc NAV 5.92%iShares Government Bond 7-10 EUR Inc NAV 5.33%iShares Government Bond 7-10 EUR Inc NAV 5.04%iShares Government Bond 7-10 EUR Inc NAV 4.64%iShares Government Bond 7-10 EUR Inc NAV 5.28%iShares Government Bond 7-10 EUR Inc NAV 5.57%iShares Government Bond 7-10 EUR Inc NAV 6.23%iShares Government Bond 7-10 EUR Inc NAV 6.9%iShares Government Bond 7-10 EUR Inc NAV 6.9%iShares Government Bond 7-10 EUR Inc NAV 7.07%iShares Government Bond 7-10 EUR Inc NAV 6.51%iShares Government Bond 7-10 EUR Inc NAV 7.85%iShares Government Bond 7-10 EUR Inc NAV 7.79%iShares Government Bond 7-10 EUR Inc NAV 5.97%iShares Government Bond 7-10 EUR Inc NAV 5.56%iShares Government Bond 7-10 EUR Inc NAV 5.09%iShares Government Bond 7-10 EUR Inc NAV 5.91%iShares Government Bond 7-10 EUR Inc NAV 4.96%iShares Government Bond 7-10 EUR Inc NAV 5.03%iShares Government Bond 7-10 EUR Inc NAV 5.1%iShares Government Bond 7-10 EUR Inc NAV 6.2%iShares Government Bond 7-10 EUR Inc NAV 5.55%iShares Government Bond 7-10 EUR Inc NAV 6.53%iShares Government Bond 7-10 EUR Inc NAV 4.73%iShares Government Bond 7-10 EUR Inc NAV 6.5%iShares Government Bond 7-10 EUR Inc NAV 6.5%iShares Government Bond 7-10 EUR Inc NAV 6.5%iShares Government Bond 7-10 EUR Inc NAV 5.64%iShares Government Bond 7-10 EUR Inc NAV 4.96%iShares Government Bond 7-10 EUR Inc NAV 5.9%iShares Government Bond 7-10 EUR Inc NAV 5.98%iShares Government Bond 7-10 EUR Inc NAV 5.19%iShares Government Bond 7-10 EUR Inc NAV 3.89%iShares Government Bond 7-10 EUR Inc NAV 3.65%iShares Government Bond 7-10 EUR Inc NAV 3.81%iShares Government Bond 7-10 EUR Inc NAV 3.78%iShares Government Bond 7-10 EUR Inc NAV 3.37%iShares Government Bond 7-10 EUR Inc NAV 4.93%iShares Government Bond 7-10 EUR Inc NAV 5.4%iShares Government Bond 7-10 EUR Inc NAV 5.17%iShares Government Bond 7-10 EUR Inc NAV 5.22%iShares Government Bond 7-10 EUR Inc NAV 5.1%iShares Government Bond 7-10 EUR Inc NAV 5.24%iShares Government Bond 7-10 EUR Inc NAV 5.28%iShares Government Bond 7-10 EUR Inc NAV 5.28%iShares Government Bond 7-10 EUR Inc NAV 4.6%iShares Government Bond 7-10 EUR Inc NAV 3.53%iShares Government Bond 7-10 EUR Inc NAV 2.55%iShares Government Bond 7-10 EUR Inc NAV 3.41%iShares Government Bond 7-10 EUR Inc NAV 4.16%iShares Government Bond 7-10 EUR Inc NAV 3.06%iShares Government Bond 7-10 EUR Inc NAV 3.08%iShares Government Bond 7-10 EUR Inc NAV 2.44%iShares Government Bond 7-10 EUR Inc NAV 1.04%iShares Government Bond 7-10 EUR Inc NAV 1.05%iShares Government Bond 7-10 EUR Inc NAV 0.45%iShares Government Bond 7-10 EUR Inc NAV 0%JPMorgan Morgan Global (WLD) 5.1%JPMorgan Morgan Global (WLD) 5.1%JPMorgan Morgan Global (WLD) 5.48%JPMorgan Morgan Global (WLD) 5.36%JPMorgan Morgan Global (WLD) 5.06%JPMorgan Morgan Global (WLD) 5.48%JPMorgan Morgan Global (WLD) 5.25%JPMorgan Morgan Global (WLD) 5.66%JPMorgan Morgan Global (WLD) 6.03%JPMorgan Morgan Global (WLD) 5.98%JPMorgan Morgan Global (WLD) 5.63%JPMorgan Morgan Global (WLD) 5.54%JPMorgan Morgan Global (WLD) 4.93%JPMorgan Morgan Global (WLD) 4.95%JPMorgan Morgan Global (WLD) 5.27%JPMorgan Morgan Global (WLD) 5.12%JPMorgan Morgan Global (WLD) 5.03%JPMorgan Morgan Global (WLD) 5.27%JPMorgan Morgan Global (WLD) 4.98%JPMorgan Morgan Global (WLD) 4.89%JPMorgan Morgan Global (WLD) 4.62%JPMorgan Morgan Global (WLD) 4.69%JPMorgan Morgan Global (WLD) 4.06%JPMorgan Morgan Global (WLD) 3.47%JPMorgan Morgan Global (WLD) 3.75%JPMorgan Morgan Global (WLD) 4.18%JPMorgan Morgan Global (WLD) 3.58%JPMorgan Morgan Global (WLD) 3.43%JPMorgan Morgan Global (WLD) 3.72%JPMorgan Morgan Global (WLD) 3.78%JPMorgan Morgan Global (WLD) 4.28%JPMorgan Morgan Global (WLD) 4.31%JPMorgan Morgan Global (WLD) 3.86%JPMorgan Morgan Global (WLD) 3.57%JPMorgan Morgan Global (WLD) 3.47%JPMorgan Morgan Global (WLD) 2.88%JPMorgan Morgan Global (WLD) 2.42%JPMorgan Morgan Global (WLD) 2.16%JPMorgan Morgan Global (WLD) 1.94%JPMorgan Morgan Global (WLD) 2%JPMorgan Morgan Global (WLD) 2.39%JPMorgan Morgan Global (WLD) 2.81%JPMorgan Morgan Global (WLD) 2.97%JPMorgan Morgan Global (WLD) 3.27%JPMorgan Morgan Global (WLD) 3.59%JPMorgan Morgan Global (WLD) 3.62%JPMorgan Morgan Global (WLD) 3.29%JPMorgan Morgan Global (WLD) 3.85%JPMorgan Morgan Global (WLD) 3.83%JPMorgan Morgan Global (WLD) 3.86%JPMorgan Morgan Global (WLD) 3.75%JPMorgan Morgan Global (WLD) 3.48%JPMorgan Morgan Global (WLD) 3.93%JPMorgan Morgan Global (WLD) 3.45%JPMorgan Morgan Global (WLD) 3.48%JPMorgan Morgan Global (WLD) 3.55%JPMorgan Morgan Global (WLD) 4.29%JPMorgan Morgan Global (WLD) 3.97%JPMorgan Morgan Global (WLD) 4.5%JPMorgan Morgan Global (WLD) 3.99%JPMorgan Morgan Global (WLD) 3.85%JPMorgan Morgan Global (WLD) 3.64%JPMorgan Morgan Global (WLD) 4.14%JPMorgan Morgan Global (WLD) 3.62%JPMorgan Morgan Global (WLD) 3.31%JPMorgan Morgan Global (WLD) 3.82%JPMorgan Morgan Global (WLD) 3.96%JPMorgan Morgan Global (WLD) 3.62%JPMorgan Morgan Global (WLD) 3.28%JPMorgan Morgan Global (WLD) 2.94%JPMorgan Morgan Global (WLD) 3.28%JPMorgan Morgan Global (WLD) 3.09%JPMorgan Morgan Global (WLD) 2.9%JPMorgan Morgan Global (WLD) 3.64%JPMorgan Morgan Global (WLD) 4.17%JPMorgan Morgan Global (WLD) 4.17%JPMorgan Morgan Global (WLD) 4.15%JPMorgan Morgan Global (WLD) 4.24%JPMorgan Morgan Global (WLD) 4.7%JPMorgan Morgan Global (WLD) 4.7%JPMorgan Morgan Global (WLD) 4.58%JPMorgan Morgan Global (WLD) 4.33%JPMorgan Morgan Global (WLD) 3.33%JPMorgan Morgan Global (WLD) 2.65%JPMorgan Morgan Global (WLD) 2.67%JPMorgan Morgan Global (WLD) 3.35%JPMorgan Morgan Global (WLD) 2.24%JPMorgan Morgan Global (WLD) 2.21%JPMorgan Morgan Global (WLD) 1.79%JPMorgan Morgan Global (WLD) 0.67%JPMorgan Morgan Global (WLD) 0.49%JPMorgan Morgan Global (WLD) 0.17%JPMorgan Morgan Global (WLD) 0%
Timeframe:
iShares Government Bond 7-10 EUR Inc NAV 0.4iShares Government Bond 7-10 EUR Inc NAV 0.37iShares Government Bond 7-10 EUR Inc NAV 0.29iShares Government Bond 7-10 EUR Inc NAV 0.35iShares Government Bond 7-10 EUR Inc NAV 0.55iShares Government Bond 7-10 EUR Inc NAV 0.61iShares Government Bond 7-10 EUR Inc NAV 0.75iShares Government Bond 7-10 EUR Inc NAV 0.65iShares Government Bond 7-10 EUR Inc NAV 0.55iShares Government Bond 7-10 EUR Inc NAV 0.6
 
View More Performance Data
View More Risk Data

 
Fund DetailsValuation date:05/11/2009
Nav(EUR)153.14Gross Yield3.50
Change-0.28Net Yield3.50
% Change**-0.18Listed Yield-
52w high157.2952w low146.68
Ex-dividend date29/04/2009Payment date27/05/2009
** since previous valuation date 04/11/2009
Daily Fund Management
Pricing Frequency Daily
Pricing Method -
Pricing Time -
Dealing Hours -


Fund Overview
Fund Type FT Offshore Funds
Unit Type Income
Status Ireland Regulated
Sector Fixed Income Global
Launch Date 11/12/2006
Currency Euro (EUR)
Domicile Ireland
ISIN IE00B1FZS806
SEDOL B1GH1R5
MEXID UOEGB7
Investing in the Fund
Initial Charge -
Annual Charge
Exit Charge -
Min. Initial Investment -
Min. Additional Investment -
Min. Regular Investment -
UK ISA yes
CAT Standard no
UK PEP no
   
 
Contact Information  
 
Fund Management Group iShares Website www.iShares.com
Fund Management Company iShares Email info@iShares.co.uk
Fund Manager - Telephone +44 084 5357 7000
Fax +44 207 668 6007