UBS Bloomberg US 7 – 10 Year Treasury Bond

US government bonds

(UB82)
£29.77
Previous business day’s close price
£2.69 (‑7.72%)
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£30.24
£35.96

04 Jan 21
10 Dec 24

Details

ETF description

The UBS Bloomberg US 7 – 10 Year Treasury Bond ETF provides investors with exposure to U.S. Treasury bonds with maturities ranging from 7 to 10 years. By tracking the Bloomberg U.S. Treasury 7 – 10 Years index, this ETF focuses on U.S. government securities that are backed by the full faith and credit of the U.S. government, offering a stable and predictable source of income. The ETF is designed to deliver investors a lower‑risk investment option within the U.S. fixed‑income market, emphasizing bonds with intermediate‑term maturities to balance yield and interest rate risk. It is suitable for those seeking to invest in high‑quality government debt with a moderate duration profile, providing a reliable income stream and capital preservation.

Issuer details

UBS Asset Management is a leading global asset management firm and a subsidiary of UBS Group AG, managing over $1.2 trillion in assets as of June 2024. UBS offers a range of investment products covering various market segments. Founded in 1862, UBS Asset Management has a strong focus on sustainable investing and leverages its global reach with local expertise to provide innovative and client‑focused investment strategies. Notable ETFs in their lineup include the UBS MSCI ACWI SF UCITS ETF and the UBS ETF (IE) MSCI USA Socially Responsible UCITS ETF, demonstrating UBS’s commitment to offering diverse and sustainable investment options to meet the evolving needs of investors.

Index details

The Bloomberg US 7 – 10 Year Treasury Bond index provides targeted exposure to U.S. Treasury securities with maturities ranging from 7 to 10 years. This index includes high‑quality government bonds issued by the U.S. Treasury, offering investors stable income and low credit risk associated with U.S. sovereign debt. By focusing on intermediate‑term Treasury bonds, the index aims to balance income and interest rate risk, capturing the performance of U.S. government debt within this specific maturity range. Its emphasis on medium‑term Treasury bonds makes it a valuable addition for portfolios seeking stable returns and capital preservation with moderate interest rate sensitivity.

£29.77
Previous business day’s close price

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