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iShares $ Corporate Bond UCITS ETF

LQDE · IE0032895942 · LSE
iSharesTracks iShares $ Corporate Bond UCITS ETF reference index
$109.80
-0.32% today
60 sessions · price data is free, always
ISIN
IE0032895942
Ticker
LQDE
Theme
Bonds
TER
0.20%
Fund size
€2.1B
Replication
Physical
Distribution
Dist
Currency
USD
Inception
2003

Liquidity & flows

PRO
Avg. daily volume
Avg. bid–ask spread
1M fund flows
Holdings
2,800
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Fund profile

Sample reference data
Benchmark index
iShares $ Corporate Bond UCITS ETF reference index
Index provider
Multiple providers
Replication
Physical — full replication, optimised sampling on the long tail
Rebalancing
Quarterly
Securities lending
Not used by this share class
Legal structure
Open-ended ICAV / plc sub-fund
Domicile
Ireland
UCITS
Yes — UCITS V compliant
SFDR classification
Article 9 — sustainable investment objective
Income treatment
Distributing — income paid out in cash
Distribution frequency
Semi-annually
Currency hedging
No — unhedged, currency risk is carried by the investor
Withholding tax
15% US treaty rate on US dividends, no Irish withholding on payouts
UK reporting status
No
Savings plans
Available at most German and Austrian brokers
Share class launch
March 2003
Fiscal year end
31 March
Depositary / custodian
Northern Trust Fiduciary Services (Ireland)

Listings & identifiers

Sample cross-listings
WKN
TPT3VJ
SEDOL
0DVPWB8
Valoren
1970200
Bloomberg
LQDE NA
ExchangeTickerTrading currencyListing
LSELQDEUSDPrimary
Euronext ParisLQDEEURCross-listing
XetraLQDEEURCross-listing
LSELQDEpGBPCross-listing

Top holdings

Top 10 = 51.5% of the fund · sample data
  1. 1US Treasury 4.25% 20347.59%
  2. 2US Treasury 3.875% 20296.91%
  3. 3Bundesrepublik 2.5% 20336.29%
  4. 4Japan Govt 0.6% 20325.72%
  5. 5France OAT 3.0% 20345.21%
  6. 6UK Gilt 4.25% 20364.74%
  7. 7Italy BTP 3.85% 20334.31%
  8. 8Canada Govt 3.25% 20333.92%
  9. 9Spain Bonos 3.55% 20333.57%
  10. 10Netherlands Govt 2.5% 20333.25%

2,800 positions in total — the remaining 48.5% sits in the long tail.

Risk, return & total cost

Sample figures — not investment advice
SRRI risk score
4 of 7
3Y volatility
30.0%
Max drawdown
−37.2%

Performance history

PRO
1Y total return
3Y annualised
Tracking difference
Sharpe ratio

What you actually pay each year

Ongoing charge (TER)
0.20%
Portfolio transaction costs
0.06%
of which index licence fee
0.01%
Estimated total cost
0.26%

Excludes your broker's commission and the bid–ask spread you pay on the way in and out.

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