iShares € Government Bond 15-30 (IBGL)

iShares € Government Bond 15-30 is an exchange traded fund (ETF) that aims to track the performance of the Barclays Capital Euro Government Bond 30 Year Term Index as closely as possible. The ETF invests in physical index securities. The Barclays Capital Euro Government Bond 30 Year Term Index offers exposure to Euro denominated investment grade government bonds issued by EMU member states with an original term between 26 and 33 years. Only bonds with a minimum calculated life of 15 years and a minimum amount outstanding of €2 billion are included in the index. iShares ETFs are funds managed by BlackRock. They are transparent, cost-efficient, liquid vehicles that trade on stock exchanges like normal securities. iShares ETFs offer flexible and easy access to a wide range of markets and asset classes.

  • Please note that the data on this page uses the following information to define the results:

    Currency: EUR
  • Key Facts

    Domicile Irish
    UCITS III Yes
    Ticker IBGL
    Asset Class Fixed Income
    Expense Ratio (TER) % 0.2%
    Base Currency EUR
    Inception Date 08/12/06
    Rebalance Frequency Monthly
    Fund Structure Physical
    ETF Methodology Sampled
    Dividend Frequency Semi Annually
    Use of Income Distributing
    Moody's Rating Aa1  MR5
  • Product Details

    Fund Accountant BOISS
    Issuing Company iShares II plc
    Product Licenser Barclays Plc
    Fund Manager BlackRock Advisors (UK) Limited
    Reporting Frequency Quarterly
    Futures Available No
    Options Available No
    Entry Fees No
    Exit Fees No
    Performance Fees No
    ISA Yes
    SIPP Yes
    UK Distributor Status Yes
    Minimum Purchase 1 Share
  • Benchmark Information

    Benchmark Name Barclays Euro Government Bond 30yr Term Index
    Benchmark Provider Barclays Capital
    Benchmark Currency EUR
    Benchmark Level Type Gross Total Return
    Rebalance Frequency Monthly
    Bloomberg Total Return Index Ticker BCEX1T
    Bloomberg Price Index Ticker BCEX1G
    Reuters Total Return Index Ticker EURT4=BARL
  • Fixed Income Information

    19/03/10
    No. of Holdings 30
    Maturity (years) 22.88
    Coupon (%) 5.27
    Macaulay Duration (years) 14.01
    Modified Duration (%) 13.54
  • Performance Chart

    Currency: EUR
  • Yield Information

    19/03/10
    Dividend Frequency Semi Annually
    Use of Income Distributing
    Fiscal Year End 31/10/10
    Date of Financial Year-End-Distribution 27/10/10
    Currency EUR
    Flat Yield (%) 4.56% (EUR)
    Yield to Maturity (%) 4.28% (EUR)
    View History
  • London Stock Exchange

    Fund Identifiers

    ISIN IE00B1FZS913
    SEDOL B1G52P4
    Bloomberg Code IBGL LN
    Bloomberg iNAV INAVGBFP
    RIC IBGL.L
    Reuters iNAV GBFGBP=INAV
    Common Code (EOC) 28928483
  • London Stock Exchange

    Exchange Information

    Funds Ticker IBGL
    Fund Currency on Exchange GBP
    Initial Listing Date 08/12/06

    On Exchange Market Makers

    Flow Traders B.V.
    Saen Options
    Susquehanna International Securities
  • Registered Countries

    Austria Luxembourg
    France Netherlands
    Germany Suisse
    Italy United Kingdom

As with other investments, investors should be aware that the price of your investment (which may trade in limited markets) may go down as well as up and you may not get back the amount you invested. In addition your income is not fixed and may fluctuate. Investors are advised to seek the advice of an independent financial advisor in assessing the suitability of iShares as an investment.



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