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EUSD
XtrII Gl Gov Bd UETF 1C u.
Obligaties Euro (zonder vaste looptijd) : Euro
Terug naar zoekresultaten.
Activaspreiding
Regiospreiding
Sectorspreiding
Top 10 posities
Data van
30-8-2024
Fixed Income 98,96%
Liquiditeiten 0,8%
Aandelen 0,24%
30-8-2024
Aandelen
Fixed Income
Liquiditeiten
Obligaties
zyCash
Verenigde Staten 46,84%
Japan 11,71%
Frankrijk 7,58%
Italië 6,91%
Duitsland 6,1%
Verenigd Koninkrijk 5,36%
Spanje 4,5%
Canada 2,0%
België 1,61%
Nederland 1,35%
Australië 1,31%
Oostenrijk 1,15%
Finland 0,5%
Ierland 0,49%
Singapore 0,41%
Israël 0,32%
Denemarken 0,26%
Nieuw-zeeland 0,26%
Zweden 0,16%
Noorwegen 0,15%
Rest 1,04%
30-8-2024
Australië
België
Canada
Colombia
Denemarken
Duitsland
Finland
Frankrijk
Ierland
Israël
Italië
Japan
Kaaiman Eilanden
Nederland
Nieuw-zeeland
Noorwegen
Oostenrijk
Overige
Panama
Polen
Singapore
Spanje
Turkije
Verenigd Koninkrijk
Verenigde Staten
Zuid-Korea
Zweden
Zwitserland
Overige 6,4%
Rest 93,6%
31-12-2020
Overige
US TREASURY N/B,4.375,20340515 0,49%
US TREASURY N/B,4.5,20331115 0,45%
US TREASURY N/B,4,20340215 0,45%
US TREASURY N/B,3.875,20330815 0,42%
US TREASURY N/B,4.125,20321115 0,39%
US TREASURY N/B,1.375,20311115 0,36%
US TREASURY N/B,3.375,20330515 0,36%
US TREASURY N/B,2.875,20320515 0,36%
US TREASURY N/B,1.25,20310815 0,36%
US TREASURY N/B,3.5,20330215 0,36%
Rest 95,98%
30-8-2024
10-Yr Note 5/30
4.5% Republic of France 04/41
BBG00Y2NNDT7 T 0.875 11/15/30 11/30
Cash Eur
Cash EUR,Cash EUR
FRANCE (GOVT OF)
FRANCE (GOVT OF) 20300525
FRANCE (GOVT OF) 20410425
FRANCE (REPUBLIC OF) 05/30
JAPAN (10 YR ISSUE)
Japan (2 Year Issue)
Japan (20 Year Issue)
Japan Government Five Year Bond 0,1% 20.12.2019
Japan Government Five Year Bond 0,2% 20.03.2019
Not available
Republic of France 10/27
Republic of France 10/32
TREASURY NOTE 8/30
U S TREASURY NOTE 2/30
United States Treasury Note/Bond 2% 15.02.2022
United States Treasury Note/Bond 3,125% 15.05.2021
United States Treasury Note/Bond 3,375% 15.11.2019
United States Treasury Note/Bond 3,5% 15.05.2020
United States Treasury Note/Bond 3,625% 15.02.2020
United States Treasury Note/Bond 3,625% 15.02.2021
United States Treasury Note/Bond 3,625% 15.08.2019
US TREASURY BONDS 02/49 912810SF
US TREASURY BONDS 11/48 912810SE
US TREASURY N/B
US TREASURY N/B 20270131
US TREASURY N/B 20280515
US TREASURY N/B 20300515
US TREASURY N/B 20300815
US TREASURY N/B 20301115
US TREASURY N/B 20310215
US TREASURY N/B 20310515
US TREASURY N/B 20310815
US TREASURY N/B 20311115
US TREASURY N/B 20320215
US TREASURY N/B 20320515
US TREASURY N/B 20320815
US TREASURY N/B 20321115
US TREASURY N/B 20330215
US TREASURY N/B 20330515
US TREASURY N/B 20330815
US TREASURY N/B 20331115
US TREASURY N/B 20340215
US TREASURY N/B 20510215
US TREASURY N/B 20510515
US TREASURY N/B 20510815
US TREASURY N/B,1.25,20310815
US TREASURY N/B,1.375,20311115
US TREASURY N/B,1.875,20320215
US TREASURY N/B,2.875,20320515
US TREASURY N/B,20270131
US TREASURY N/B,20300515
US TREASURY N/B,20300815
US TREASURY N/B,20301115
US TREASURY N/B,20310215
US TREASURY N/B,20310515
US TREASURY N/B,20310815
US TREASURY N/B,20311115
US TREASURY N/B,20320215
US TREASURY N/B,20320515
US TREASURY N/B,20320815
US TREASURY N/B,3.375,20330515
US TREASURY N/B,3.5,20330215
US TREASURY N/B,3.875,20330815
US TREASURY N/B,4,20340215
US TREASURY N/B,4.125,20321115
US TREASURY N/B,4.375,20340515
US TREASURY N/B,4.5,20331115
US TREASURY N/B,US TREASURY N/B 20301115
US TREASURY N/B,US TREASURY N/B 20310215
US TREASURY N/B,US TREASURY N/B 20310515
US TREASURY N/B,US TREASURY N/B 20310815
US TREASURY N/B,US TREASURY N/B 20311115
US TREASURY N/B,US TREASURY N/B 20320215
US TREASURY N/B,US TREASURY N/B 20320515
US TREASURY N/B,US TREASURY N/B 20320815
US TREASURY N/B,US TREASURY N/B 20321115
US TREASURY NOTES 02/28 9128283W
US TREASURY NOTES 02/29 9128286B
US TREASURY NOTES 05/28 9128284N
US TREASURY NOTES 08/24 912828D5
US TREASURY NOTES 08/28 9128284V
US TREASURY NOTES 11/28 9128285M