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iShares $ Development Bank Bonds UCITS ETF
Fixed Income
Please note, that on 1st September 2023, the benchmark underwent an enhancement. As a result the SFDR classification of the fund has been revised upwards to Article 9. For more information about the fund you can consult the prospectus in the Literature section of this webpage.
- NAV as of 16.Jun.2026USD 5,4952 WK: 5,30 - 5,55
- 1 Day NAV Change as of 16.Jun.2026USD 0,01(0,10%)
- NAV Total Return as of 16.Jun.2026YTD: 0,38
- Weighted Average YTM as of 16.Jun.2026