iShares JP Morgan USD Emerging Markets Bond ETF
|
- Description
- Performance
- Fundamentals
- Rate Sensitivity
- Rating
iShares J.P. Morgan USD Emerging Markets Bond ETF is an exchange-traded fund incorporated in the USA. The ETF seeks investment results that correspond to the price and yield of the JP Morgan Emerging Markets Bond Index. |
Category | Emerging Market |
Fund Sponsor | BlackRock Fund Advisors |
Website | www.ishares.com |
Inception date | Dec 17, 2007 |
Assets (mns) | $14,565 |
Currency | USD |
Expense ratio | 39 bp |
Distributions | Monthly |
Regulation | Open-End Investment Company |
Custodian | State Street Bank & Trust Co |
Weighting | Market Cap |
Index replication | Full |
No. of constituents | 499 |
No of distinct issuers | 157 |
Inflation protected | 0% |
Variable/Fixed coupon | 6% /94% |
Non-standard maturity (callable, etc.) | 37% |
GOVT OF URUGUAY 5.1% 6/18/50 | 0.9 % |
GOVT OF RUSSIA 5.3% 6/23/47 | 0.7 % |
GOVT OF PERU 5.6% 11/18/50 | 0.7 % |
GOVT OF PERU 8.8% 11/21/33 | 0.7 % |
GOVT OF COLOMBIA 5.0% 6/15/45 | 0.7 % |
GOVT OF POLAND 5.0% 3/23/22 | 0.6 % |
GOVT OF KUWAIT 3.5% 3/20/27 | 0.6 % |
1MDB GLOBAL INVESTMEN 4.4% 3/09/23 | 0.6 % |
GOVT OF UKRAINE 7.4% 9/25/32 | 0.6 % |
GOVT OF PANAMA 6.7% 1/26/36 | 0.5 % |
TOTAL | 6.6 % |
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GOVT OF TURKEY | 3.6% |
GOVT OF QATAR | 3.6% |
GOVT OF THE PHILIPPINES | 3.5% |
GOVT OF SAUDI ARABIA | 3.5% |
GOVT OF RUSSIA | 3.3% |
MEXICO | 5.1 % | |
INDONESIA | 4.6 % | |
QATAR | 3.7 % | |
TURKEY | 3.7 % | |
PHILIPPINES | 3.7 % |
HISTORICAL RETURNS
Custom date range | Compare to | ||
thru |
Year-to-date | 1 year | 5 years | 10 years | Since Incep. |
1.5% | 10.1% | 0.5% | 2.6% | 4.2% |
versus... | Beta | R-squared |
---|---|---|
Barclays Agg. Bond | 1.46 | 75% |
S&P500 | 0.57 | 69% |
MSCI EAFE | 0.65 | 83% |
MSCI Emg. Mkts. | 0.59 | 73% |
Recent close | $88.90 |
30d moving avg. | $85.31 |
Annualized volatility | 12.1% |
Short interest (ETF) | 0.0% |
Relative strength (RSI) | 70 |
Avg. volume (thou.) | 6,843 |
Avg. daily value traded (mns) | $608 |
Turnover | 4.1% |
Bid/Ask (% of price) | 0.01 |
DISTRIBUTION YIELD (TRAILING 12 MONTHS)
EMB | 8.5 yrs | Category Avg.* |
8.8 yrs |
EMB | 8.3% | Category Avg.* |
8.5% |
Change in YTM |
New YTM |
Est. Price Change |
Est. New Price |
+300 bp | 10.65% | -18.1% | $72.82 |
+200 bp | 9.65% | -13.6% | $76.85 |
+150 bp | 9.15% | -10.7% | $79.37 |
+100 bp | 8.65% | -7.5% | $82.21 |
+75 bp | 8.40% | -5.8% | $83.76 |
+50 bp | 8.15% | -3.9% | $85.39 |
+25 bp | 7.90% | -2.0% | $87.10 |
0 bp | 7.65% | 0% | $88.90 |
-25 bp | 7.40% | 2.1% | $90.78 |
-50 bp | 7.15% | 4.3% | $92.74 |
-75 bp | 6.90% | 6.6% | $94.78 |
-100 bp | 6.65% | 9.0% | $96.91 |
-150 bp | 6.15% | 14.1% | $101.42 |
-200 bp | 5.65% | 19.5% | $106.25 |
-300 bp | 4.65% | 31.5% | $116.91 |
*Fund Category: EMERGING MARKET
ALTAR Score™
Calculation of ALTAR Score™ | ||
---|---|---|
Adj. Yield to Maturity | 765 | bp |
Less: Annual "default factor" | 84 | bp |
Less: Expense ratio | 39 | bp |
Equals: ALTAR Score | 6.42 | % |
Average ALTAR Score™ by Category | |
---|---|
Aggregate | 3.5% |
Corporate | 4.4% |
Emerging Market | 6.2% |
Government | 4.9% |
Inflation Protected | 3.0% |
Mortgage | 5.2% |
Municipals | 3.4% |
*Note: The iShares JP Morgan USD Emerging Markets Bond ETF is classified as a Emerging Market fund. |