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iShares Treasury Bond 7-10 USD Inc NAV
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  167.23 USD
Nav
+0.26 /  +0.16%
Change / % Change**
184.93 - 161.98
52 Week Range
+3.90 +2.39%
52 Week Change
 
  Latest Price Information as at: 05/11/2009
 
Overview of Fund Details, Performance and Risk
 
  At a glance  
  iShares $ Treasury Bond 7-10 is a fixed income fund that offers you exposure to a diversified basket of US government bonds, with maturities ranging from 7 to 10 years. iShares $ Treasury Bond 7-10 can give you immediate exposure to liquid, US dollar-denominated, investment grade government bonds. This fund can enhance diversification away from equities and provide steady income at regular time periods.  
Charting Information
iShares Treasury Bond 7-10 USD Inc NAV 5.45%iShares Treasury Bond 7-10 USD Inc NAV 5.45%iShares Treasury Bond 7-10 USD Inc NAV 6.34%iShares Treasury Bond 7-10 USD Inc NAV 6.15%iShares Treasury Bond 7-10 USD Inc NAV 5.55%iShares Treasury Bond 7-10 USD Inc NAV 6.59%iShares Treasury Bond 7-10 USD Inc NAV 5.98%iShares Treasury Bond 7-10 USD Inc NAV 6.11%iShares Treasury Bond 7-10 USD Inc NAV 7.12%iShares Treasury Bond 7-10 USD Inc NAV 7.27%iShares Treasury Bond 7-10 USD Inc NAV 6.46%iShares Treasury Bond 7-10 USD Inc NAV 6.2%iShares Treasury Bond 7-10 USD Inc NAV 5.2%iShares Treasury Bond 7-10 USD Inc NAV 5.03%iShares Treasury Bond 7-10 USD Inc NAV 5.55%iShares Treasury Bond 7-10 USD Inc NAV 6.06%iShares Treasury Bond 7-10 USD Inc NAV 5.12%iShares Treasury Bond 7-10 USD Inc NAV 6.18%iShares Treasury Bond 7-10 USD Inc NAV 4.91%iShares Treasury Bond 7-10 USD Inc NAV 4.85%iShares Treasury Bond 7-10 USD Inc NAV 4.05%iShares Treasury Bond 7-10 USD Inc NAV 4.61%iShares Treasury Bond 7-10 USD Inc NAV 3.83%iShares Treasury Bond 7-10 USD Inc NAV 1.82%iShares Treasury Bond 7-10 USD Inc NAV 2.45%iShares Treasury Bond 7-10 USD Inc NAV 4.39%iShares Treasury Bond 7-10 USD Inc NAV 3.48%iShares Treasury Bond 7-10 USD Inc NAV 3.13%iShares Treasury Bond 7-10 USD Inc NAV 3.75%iShares Treasury Bond 7-10 USD Inc NAV 3.86%iShares Treasury Bond 7-10 USD Inc NAV 5.71%iShares Treasury Bond 7-10 USD Inc NAV 5.71%iShares Treasury Bond 7-10 USD Inc NAV 4.04%iShares Treasury Bond 7-10 USD Inc NAV 3.74%iShares Treasury Bond 7-10 USD Inc NAV 3.83%iShares Treasury Bond 7-10 USD Inc NAV 2.41%iShares Treasury Bond 7-10 USD Inc NAV 1.35%iShares Treasury Bond 7-10 USD Inc NAV 1.82%iShares Treasury Bond 7-10 USD Inc NAV 0.69%iShares Treasury Bond 7-10 USD Inc NAV 1.14%iShares Treasury Bond 7-10 USD Inc NAV 2.8%iShares Treasury Bond 7-10 USD Inc NAV 4.15%iShares Treasury Bond 7-10 USD Inc NAV 4.39%iShares Treasury Bond 7-10 USD Inc NAV 5.1%iShares Treasury Bond 7-10 USD Inc NAV 6.79%iShares Treasury Bond 7-10 USD Inc NAV 7.01%iShares Treasury Bond 7-10 USD Inc NAV 5.58%iShares Treasury Bond 7-10 USD Inc NAV 6.41%iShares Treasury Bond 7-10 USD Inc NAV 6.27%iShares Treasury Bond 7-10 USD Inc NAV 8.04%iShares Treasury Bond 7-10 USD Inc NAV 7.95%iShares Treasury Bond 7-10 USD Inc NAV 7.93%iShares Treasury Bond 7-10 USD Inc NAV 9.34%iShares Treasury Bond 7-10 USD Inc NAV 8.01%iShares Treasury Bond 7-10 USD Inc NAV 8.03%iShares Treasury Bond 7-10 USD Inc NAV 7.95%iShares Treasury Bond 7-10 USD Inc NAV 9.49%iShares Treasury Bond 7-10 USD Inc NAV 9.35%iShares Treasury Bond 7-10 USD Inc NAV 10.15%iShares Treasury Bond 7-10 USD Inc NAV 10.79%iShares Treasury Bond 7-10 USD Inc NAV 7.91%iShares Treasury Bond 7-10 USD Inc NAV 7.91%iShares Treasury Bond 7-10 USD Inc NAV 7.91%iShares Treasury Bond 7-10 USD Inc NAV 7.25%iShares Treasury Bond 7-10 USD Inc NAV 6.61%iShares Treasury Bond 7-10 USD Inc NAV 8.22%iShares Treasury Bond 7-10 USD Inc NAV 8.57%iShares Treasury Bond 7-10 USD Inc NAV 7.44%iShares Treasury Bond 7-10 USD Inc NAV 7.48%iShares Treasury Bond 7-10 USD Inc NAV 6.34%iShares Treasury Bond 7-10 USD Inc NAV 8.28%iShares Treasury Bond 7-10 USD Inc NAV 7.51%iShares Treasury Bond 7-10 USD Inc NAV 8.85%iShares Treasury Bond 7-10 USD Inc NAV 9.68%iShares Treasury Bond 7-10 USD Inc NAV 11.4%iShares Treasury Bond 7-10 USD Inc NAV 11.46%iShares Treasury Bond 7-10 USD Inc NAV 10.66%iShares Treasury Bond 7-10 USD Inc NAV 9.83%iShares Treasury Bond 7-10 USD Inc NAV 11.65%iShares Treasury Bond 7-10 USD Inc NAV 12.23%iShares Treasury Bond 7-10 USD Inc NAV 12.23%iShares Treasury Bond 7-10 USD Inc NAV 12.72%iShares Treasury Bond 7-10 USD Inc NAV 11.78%iShares Treasury Bond 7-10 USD Inc NAV 9.18%iShares Treasury Bond 7-10 USD Inc NAV 7.65%iShares Treasury Bond 7-10 USD Inc NAV 9.17%iShares Treasury Bond 7-10 USD Inc NAV 6.08%iShares Treasury Bond 7-10 USD Inc NAV 5.7%iShares Treasury Bond 7-10 USD Inc NAV 4.54%iShares Treasury Bond 7-10 USD Inc NAV 2.22%iShares Treasury Bond 7-10 USD Inc NAV 0.73%iShares Treasury Bond 7-10 USD Inc NAV -0.19%iShares Treasury Bond 7-10 USD 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 Treasury Bond 7-10 USD Inc NAV 0.74iShares Treasury Bond 7-10 USD Inc NAV 0.74iShares Treasury Bond 7-10 USD Inc NAV 0.73iShares Treasury Bond 7-10 USD Inc NAV 1.07iShares Treasury Bond 7-10 USD Inc NAV 0.74iShares Treasury Bond 7-10 USD Inc NAV 0.82iShares Treasury Bond 7-10 USD Inc NAV 0.89iShares Treasury Bond 7-10 USD Inc NAV 1.11iShares Treasury Bond 7-10 USD Inc NAV 1.12iShares Treasury Bond 7-10 USD Inc NAV 1.23
 
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Fund DetailsValuation date:05/11/2009
Nav(USD)167.23Gross Yield3.03
Change+0.26Net Yield3.03
% Change**+0.16Listed Yield-
52w high184.9352w low161.98
Ex-dividend date28/10/2009Payment date25/11/2009
** 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 US Dollar (USD)
Domicile Ireland
ISIN IE00B1FZS798
SEDOL B1GH1J7
MEXID UOTBD7
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