IGVT

Deutsche X-trackers Barclays International Treasury Bond Hedged ETF

Down$52.70
$-0.02
(-0.04%)
As of 9:43:11 AM EDT | 10/16/19  |  Market Open

IGVT Trading Data

Open

$52.7

Low Price

$52.7

High Price

$52.7

Previous Last Price

$52.82

Bid Size

$52.6 X 3400

Ask Size

$52.72 X 3400

IGVT Portfolio Data

AUM

$10,536,000

Shares

200

PE Ratio

0

Price / Book Ratio

Expense Ratio

0.25

Net Asset Value

$52.68

Volume

Volume

922

Avg. Volume (YDT)

1,151

Dollar Volume

$48,589

Weekly Avg. Volume

660

Monthly Avg. Volume

805

Quarterly Avg. Volume

549

IGVT Fund Description

The Deutsche X-trackers Barclays International Treasury Bond Hedged ETF seeks investment results that correspond generally to the performance, before fees and expenses, of the Barclays Global Aggregate Treasury Ex USD Issuer Diversified Bond Index (USD Hedged).

IGVT Chart

IGVT Summary

Fund Family

Deutsche Asset Management

Tracks This Index

Deutsche X-trackers Barclays International Treasury Bond Hedged ETF

Inception Date

2016-10-25

Asset Class

Currency

Asset Class Size

Income

IGVT Classification

Region (General)

Global

Region (Specific)

Sector

Equity Index

Leveraged Family

IGVT Holdings

Top 10 Holdings

Xtrackers II Harvest China Government Bonds UCITS ETF Class 1D (CGB.LN)
4.47%
Japan (20 Year Issue) 09/20/2025 2.1% (XJA0558)
2.76%
Japan Government Twenty Year Bond 1.50 06/20/2034 (XJA0891)
2.34%
Japan (Government) 0.10 12/20/2028 (XJA1024)
1.99%
Japan Government Ten Year Bond 0.30 12/20/2024 (XJA0910)
1.9%
Japan Government Five Year Bond 0.10 09/20/2021 (XJA0957)
1.76%
Japan (Government) 0.50 09/20/2046 (XJA0960)
1.55%
Japan Government Ten Year Bond 0.10 06/20/2028 (XJA1010)
1.36%
Republic Of Korea 2.625 3/10/2048
1.27%
Korea Republic Of (Government) 1.875 03/10/2024
1.23%

Total IGVT Holdings

Total Holdings: 275

Xtrackers II Harvest China Government Bonds UCITS ETF Class 1D (CGB.LN)
4.47%
Japan (20 Year Issue) 09/20/2025 2.1% (XJA0558)
2.76%
Japan Government Twenty Year Bond 1.50 06/20/2034 (XJA0891)
2.34%
Japan (Government) 0.10 12/20/2028 (XJA1024)
1.99%
Japan Government Ten Year Bond 0.30 12/20/2024 (XJA0910)
1.9%
Japan Government Five Year Bond 0.10 09/20/2021 (XJA0957)
1.76%
Japan (Government) 0.50 09/20/2046 (XJA0960)
1.55%
Japan Government Ten Year Bond 0.10 06/20/2028 (XJA1010)
1.36%
Republic Of Korea 2.625 3/10/2048
1.27%
Korea Republic Of (Government) 1.875 03/10/2024
1.23%
French Republic Government Bond OAT 2.25 05/25/2024 (XFR0228)
1.19%
United Kingdom Of Great Britain And Northern Ireland 4.25 12/07/2046 (XUK0068)
1.17%
Japan (30 Year Issue) 03/20/2038 2.5% (XJA0654)
1.12%
Australian Government Bond 2.75 11/21/2028 (XAA0063)
1.04%
Republic Of Korea 2.25 6/10/2021
1.01%
Thailand Government Bond 2.125 12/17/2026
0.98%
United Kingdom Of Great Britain And Northern Ireland 2.25 09/07/2023 (XUK0095)
0.9%
Japan (10 Year Issue) 12/20/2020 1.2% (XJA0762)
0.89%
Bundesrepublik Deutschland Bundesanleihe 1.75 02/15/2024 (XWG0396)
0.87%
Republic Of Korea 1.875 6/10/2026
0.82%
Malaysia Government 3.955 09/15/2025
0.82%
Australian Government Bond 2.25 11/21/2022 (XAA0064)
0.81%
Mexico Government International Bond 5.75 03/05/2026
0.8%
Italy Buoni Poliennali Del Tesoro 7.25 11/01/2026
0.76%
Republic Of France 0.00 03/25/2023 (XFR0251)
0.75%
Japan (10 Year Issue) 06/20/2022 0.9% (XJA0822)
0.72%
Republic Of Austria 2.40 05/23/2034
0.7%
United Kingdom Gilt 4.25 12/07/2027 (XUK0069)
0.7%
Italy Buoni Poliennali Del Tesoro 2.00 02/01/2028 (XIT0308)
0.69%
Republic Of France 0.50 05/25/2026 (XFR0241)
0.67%
Spain Government Bond 5.90 07/30/2026 (XSP0120)
0.66%
United Kingdom Of Great Britain And Northern Ireland 1.75 07/22/2057 (XUK0108)
0.65%
Indonesia Government International Bond 8.25 05/15/2029
0.65%
Spain Government Bond 0.40 04/30/2022 (XSP0153)
0.64%
Malaysia Government 5.248 09/15/2028
0.64%
United Kingdom Of Great Britain And Northern Ireland 4.25 03/07/2036 (XUK0058)
0.63%
Italy Buoni Poliennali Del Tesoro 1.85 05/15/2024 (XIT0300)
0.62%
Canada (Government) 2.25 02/01/2021 (XCA0066)
0.62%
Italy Buoni Poliennali Del Tesoro 3.75 03/01/2021 (XIT0238)
0.61%
Canada Government 2.00 06/01/2028 (XCA0056)
0.6%
Kingdom of Belgium Government Bond 0.20 10/22/2023 (XBE0164)
0.59%
Netherlands Government Bond 2.00 07/15/2024 (XNN0099)
0.59%
Spain Government Bond 4.20 01/31/2037 (XSP0094)
0.58%
Japan (40 Year Issue) 03/20/2055 1.4% (XJA0918)
0.58%
Austria Republic of (Government) 0.750 02/20/2028
0.57%
Federal Republic Of Germany 1.75 07/04/2022 (XWG0377)
0.56%
Thailand Government Bond 2.875 06/17/2046
0.55%
Netherlands Government Bonds 7.50 01/15/2023 (XNN0042)
0.55%
Japan Government Ten year Bond 0.8 9/20/2022 (XJA0831)
0.54%
Japan (Government) 1.70 06/20/2033 (XJA0860)
0.54%
Japan (20 Year Issue) 09/20/2032 1.7% (XJA0832)
0.54%
Republic Of France 2.50 05/25/2030 (XFR0231)
0.54%
Republic Of France 0.00 05/25/2022 (XFR0246)
0.53%
Federal Republic Of Germany 0.00 09/11/2020 (XWG0437)
0.53%
Spain Government Bond 2.70 10/31/2048 (XSP0160)
0.51%
Kingdom Of Denmark 0.50 11/15/2029 (XDE0129)
0.5%
Portugal Obrigacoes do Tesouro 2.125 10/17/2028
0.49%
Mexico Government International Bond 6.50 06/09/2022
0.49%
Japan (Government) 2.20 09/20/2039 (XJA0718)
0.49%
Russian Federation 8.15 02/03/2027
0.48%
Confederation Of Switzerland 0.5 05/27/2030
0.48%
Ireland Government Bond 5.40 03/13/2025
0.48%
Japan (30 Year Issue) 09/20/2041 2% (XJA0793)
0.48%
Singapore Government Bond 3.00 09/01/2024
0.48%
Netherlands Government Bonds 0.00 01/15/2022 (XNN0104)
0.48%
Republic Of France 0.25 11/25/2020 (XFR0237)
0.48%
Republic Of France 1.75 06/25/2039 (XFR0248)
0.46%
Italy Buoni Poliennali Del Tesoro 5.00 08/01/2034 (XIT0192)
0.46%
Federal Republic Of Germany 3.25 07/04/2042 (XWG0359)
0.46%
Kingdom of Belgium Government Bond 1.60 06/22/2047 (XBE0163)
0.46%
Kingdom of Belgium Government Bond 5.50 03/28/2028 (XBE0166)
0.45%
Republic Of Poland 2.50 07/25/2026
0.44%
Italy Buoni Poliennali Del Tesoro 1.45 05/15/2025 (XIT0310)
0.44%
Republic Of France 3.25 05/25/2045 (XFR0225)
0.43%
Portugal Obrigacoes do Tesouro 4.95 10/25/2023
0.43%
Kingdom of Belgium Government Bond 4.25 03/28/2041 (XBE0147)
0.43%
Japan (Government) 1.80 09/20/2030 (XJA0758)
0.42%
Canada Government 1.00 09/01/2022 (XCA0053)
0.42%
Spain Government Bond 5.85 01/31/2022 (XSP0123)
0.42%
Israel Government Bond 6.25 10/30/2026
0.41%
Italy Buoni Poliennali Del Tesoro 4.75 09/01/2044 (XIT0261)
0.41%
Republic Of Austria 3.65 04/20/2022
0.41%
Netherlands Government Bonds 2.75 01/15/2047 (XNN0098)
0.4%
Netherlands Government Bonds 0.75 07/15/2027 (XNN0105)
0.4%
Netherlands Government Bonds 2.50 01/15/2033 (XNN0092)
0.4%
Sweden Government Bond 2.50 05/12/2025
0.4%
Republic Of Poland 3.25 07/25/2025
0.39%
Italy Buoni Poliennali Del Tesoro 3.75 08/01/2021 (XIT0206)
0.39%
Netherlands Government Bonds 3.75 01/15/2042 (XNN0085)
0.38%
Singapore Government Bond 2.875 07/01/2029
0.38%
United Kingdom Of Great Britain And Northern Ireland 3.75 09/07/2021 (XUK0088)
0.38%
Russian Federation 7.60 04/14/2021
0.38%
Australian Government Bond 5.50 04/21/2023 (XAA0044)
0.38%
Japan (Government) 1.90 06/20/2022 (XJA0422)
0.37%
Federal Republic Of Germany 4.75 07/04/2034 (XWG0291)
0.37%
Kingdom of Belgium Government Bond 1.25 04/22/2033 (XBE0171)
0.36%
Kingdom of Belgium Government Bond 5.00 03/28/2035 (XBE0081)
0.36%
Republic Of Austria 1.50 02/20/2047
0.36%
Indonesia Government International Bond 8.375 09/15/2026
0.36%
Canada Government 1.50 06/01/2023 (XCA0020)
0.36%
Japan (Government) 0.10 06/20/2021 (XJA0950)
0.35%
French Republic Government Bond OAT 0.75 11/25/2028 (XFR0256)
0.34%
Federal Republic Of Germany 0.25 08/15/2028 (XWG0436)
0.34%
Thailand Government Bond 5.85 03/31/2021
0.33%
Italy Buoni Poliennali Del Tesoro 1.65 03/01/2032 (XIT0279)
0.33%
Italy Buoni Poliennali Del Tesoro 3.50 03/01/2030 (XIT0270)
0.33%
Italy Buoni Poliennali Del Tesoro 0.95 03/15/2023 (XIT0288)
0.32%
Kingdom Of Denmark 1.75 11/15/2025 (XDE0125)
0.32%
Spain Government Bond 0.35 07/30/2023 (XSP0161)
0.32%
Sweden Government Bond 1.00 11/12/2026 (XSW0126)
0.32%
Canada Government 2.75 12/01/2048 (XCA0033)
0.32%
Bonos de la Tesoreria de la Republica en Pesos 4.70 09/01/2030
0.31%
United Kingdom Of Great Britain And Northern Ireland 1.75 09/07/2022 (XUK0092)
0.31%
Kingdom Of Denmark 0.50 11/15/2027 (XDE0127)
0.31%
Canadian Government 5.75 06/01/2033
0.3%
Israel Government Bond 2.00 03/31/2027
0.3%
Kingdom of Belgium Government Bond 1.00 06/22/2031 (XBE0160)
0.29%
Finland Government Bond 2.00 04/15/2024
0.29%
Spain Government Bond 1.40 07/30/2028 (XSP0162)
0.29%
United Kingdom Of Great Britain And Northern Ireland 4.25 06/07/2032
0.29%
Indonesia Treasury Bond 8.375 03/15/2024
0.29%
Kingdom of Belgium Government Bond 0.80 06/22/2027 (XBE0162)
0.29%
Republic Of Slovenia 1.00 03/06/2028
0.29%
Republic Of France 1.75 05/25/2066 (XFR0243)
0.28%
Kingdom of Belgium Government Bond 1.00 06/22/2026 (XBE0159)
0.28%
Finland Government Bond 1.625 09/15/2022
0.28%
Federal Republic Of Germany 2.00 01/04/2022 (XWG0374)
0.28%
Japan (10 Yr Issue) 03/20/2025 0.4% (XJA0914)
0.27%
Canada Government 3.50 12/01/2045 (XCA0010)
0.27%
Spain Government Bond 0.75 07/30/2021 (XSP0149)
0.27%
Japan (Government) 0.10 06/20/2022 (XJA0979)
0.27%
Canada Government 8.00 06/01/2027
0.26%
Mexico Government International Bond 7.50 06/03/2027
0.26%
United Kingdom Of Great Britain And Northern Ireland 1.50 07/22/2026 (XUK0104)
0.26%
Federal Republic Of Germany 2.50 07/04/2044 (XWG0378)
0.25%
Ireland Government Bond 0.9 05/15/2028
0.25%
Ireland Government Bond 1.70 05/15/2037
0.25%
Czech Republic Government Bond 5.70 05/25/2024
0.25%
Italy Buoni Poliennali Del Tesoro 5.75 02/01/2033 (XIT0180)
0.24%
Czech Republic Government Bond 1.00 06/26/2026
0.24%
Slovakia Government Bond 3.00 02/28/2023
0.23%
Finland Government Bond 0.75 04/15/2031
0.23%
Kingdom of Belgium Government Bond 4.00 03/28/2022 (XBE0148)
0.23%
Australian Government Bond 4.50 04/21/2033 (XAA0051)
0.23%
Hungary Government Bond 1.75 10/26/2022
0.23%
Portugal Obrigacoes do Tesouro 2.20 10/17/2022
0.23%
Norway Government Bond 3.00 03/14/2024
0.23%
New Zealand Government 4.50 04/15/2027
0.23%
Indonesia Government International Bond 6.375 04/15/2042
0.23%
Bundesrepublik Deutschland Bundesanleihe 0.25 02/15/2027 (XWG0422)
0.22%
Republic Of France 0.50 05/25/2025 (XFR0234)
0.22%
Confederation Of Switzerland 4.00 01/06/2049
0.22%
Canada Government 0.75 03/01/2021 (XCA0044)
0.21%
Australian Government Bond 3.25 04/21/2025 (XAA0050)
0.21%
Indonesia Treasury Bond 8.25 07/15/2021
0.21%
Australian Government Bond 4.75 04/21/2027 (XAA0047)
0.21%
New Zealand Government 2.75 04/15/2025
0.2%
United Kingdom Of Great Britain And Northern Ireland 4.75 12/07/2038 (XUK0062)
0.2%
Italy Buoni Poliennali Del Tesoro 4.75 09/01/2028 (XIT0257)
0.2%
Spain Government Bond 2.35 07/30/2033 (XSP0155)
0.2%
Republic Of Poland 5.25 10/25/2020
0.19%
Italy Buoni Poliennali Del Tesoro 2.95 09/01/2038 (XIT0307)
0.19%
Portugal Obrigacoes do Tesouro 2.875 10/15/2025
0.19%
Australian Government Bond 2.75 11/21/2027 (XAA0059)
0.18%
Japan (10 Yr Issue) 12/20/2023 0.6% (XJA0875)
0.18%
United Kingdom Of Great Britain And Northern Ireland 3.50 01/22/2045 (XUK0099)
0.18%
Ireland Government Bond 3.90 03/20/2023
0.18%
Japan (10 Year Issue) 03/20/2023 0.6% (XJA0847)
0.18%
Japan (10 Yr Issue) 12/20/2026 0.1% (XJA0965)
0.18%
Japan (Government) 0.10 06/20/2026 (XJA0951)
0.18%
Japan Government Forty Year Bond 0.50 03/20/2059 (XJA1035)
0.18%
Malaysia Government Investment Issue 4.444 05/22/2024
0.18%
Japan Government 5 Year Bond #135 0.1 03/20/2023 (XJA1000)
0.18%
Japan Government Bond 0.10 12/20/2022 (XJA0993)
0.18%
Portugal Obrigacoes do Tesouro 4.10 02/15/2045
0.17%
United Kingdom Of Great Britain And Northern Ireland 3.25 01/22/2044 (XUK0093)
0.17%
Hungary Government Bond 3.00 06/26/2024
0.17%
Kingdom of Belgium Government Bond 0.80 06/22/2028 (XBE0170)
0.17%
Bundesrepublik Deutschland Bundesanleihe 0.50 02/15/2026 (XWG0414)
0.17%
Australian Government Bond 3.00 03/21/2047 (XAA0061)
0.17%
Republic Of Slovakia 0.625 05/22/2026
0.17%
Spain Government Bond 6.00 01/31/2029 (XSP0071)
0.16%
Mexico Government International Bond 7.75 11/23/2034
0.16%
Italy Buoni Poliennali Del Tesoro 0.20 10/15/2020 (XIT0306)
0.16%
Australian Government Bond 4.25 04/21/2026 (XAA0053)
0.16%
Kingdom of Belgium Government Bond 5.50 03/28/2028 (XBE0070)
0.16%
Kingdom of Belgium Government Bond 4.00 03/28/2022 (XBE0085)
0.15%
United Kingdom Of Great Britain And Northern Ireland 5.00 03/07/2025 (XUK0055)
0.15%
United Kingdom Of Great Britain And Northern Ireland 1.625 10/22/2071 (XUK0112)
0.15%
Italy Buoni Poliennali Del Tesoro 5.25 11/01/2029 (XIT0152)
0.15%
Spain Government Bond 4.70 07/30/2041 (XSP0109)
0.15%
Republic Of France 4.75 04/25/2035 (XFR0115)
0.14%
Australian Government Bond 2.25 05/21/2028 (XAA0060)
0.14%
Federal Republic Of Germany 2.50 08/15/2046 (XWG0398)
0.14%
Finland Government Bond 1.375 04/15/2047
0.13%
Japan Government thirty year Bond 1.4 9/20/2045 (XJA0931)
0.13%
Republic Of France 4.00 04/25/2060 (XFR0212)
0.13%
Republic Of France 2.75 10/25/2027 (XFR0221)
0.13%
French Republic Government Bond OAT 4.25 10/25/2023 (XFR0134)
0.13%
Bundesrepublik Deutschland Bundesanleihe 0.50 02/15/2028 (XWG0431)
0.13%
French Republic Government Bond OAT 1.25 05/25/2036 (XFR0242)
0.12%
Japan (30 Year Issue) 09/20/2042 1.9% (XJA0833)
0.12%
Japan (Government) 1.80 03/20/2043 (XJA0849)
0.12%
Republic Of France 1.00 05/25/2027 (XFR0249)
0.12%
Japan (Government) 1.60 06/20/2045 (XJA0924)
0.12%
Netherlands Government Bonds 1.75 07/15/2023 (XNN0095)
0.11%
Japan (30 Year Issue) 09/20/2029 2.8%
0.11%
Republic Of Austria 0.75 10/20/2026
0.11%
Ireland Government Bond 1.00 05/15/2026
0.11%
Norwegian Government 2.00 04/26/2028
0.11%
Confederation Of Switzerland 4.00 02/11/2023
0.11%
Italy Buoni Poliennali Del Tesoro 1.45 11/15/2024 (XIT0305)
0.11%
Norway Government Bond 3.75 05/25/2021
0.11%
Confederation Of Switzerland 1.50 07/24/2025
0.11%
Japan Government Twenty Year Bond 1.90 06/20/2031 (XJA0783)
0.11%
Republic Of Austria Government Bond 0.00 09/20/2022
0.11%
Japan Government Bond 1.40 12/20/2032
0.1%
United Kingdom Of Great Britain And Northern Ireland 4.50 12/07/2042 (XUK0072)
0.1%
Canada Government 5.75 06/01/2029
0.1%
Spain Government Bond 4.90 07/30/2040 (XSP0100)
0.09%
United Kingdom Of Great Britain And Northern Ireland 3.50 07/22/2068 (XUK0096)
0.09%
Japan (Government) 0.80 06/20/2023 (XJA0859)
0.09%
Japan Government Ten Year Bond 0.60 03/20/2024 (XJA0882)
0.09%
Federal Republic Of Germany 1.50 05/15/2023 (XWG0389)
0.09%
Japan Government 10 Year Bond #350 0.1 03/20/2028 (XJA1001)
0.09%
Japan (Government) 0.10 09/20/2026 (XJA0958)
0.09%
Japan (Government) 1.00 12/20/2021 (XJA0805)
0.09%
United Kingdom Of Great Britain And Northern Ireland 4.50 09/07/2034 (XUK0081)
0.09%
Netherlands Government Bonds 4.00 01/15/2037 (XNN0072)
0.09%
Republic Of Austria 3.15 06/20/2044
0.09%
Japan Government Forty year Bond 0.40 03/20/2056 (XJA0948)
0.09%
United Kingdom Of Great Britain And Northern Ireland 4.75 12/07/2030 (XUK0073)
0.09%
Republic Of France 2.00 05/25/2048 (XFR0250)
0.09%
Cyprus Republic Government Bond 2.375 09/25/2028
0.09%
Australian Government Bond 3.25 06/21/2039 (XAA0058)
0.08%
Federal Republic Of Germany 1.25 08/15/2048 (XWG0429)
0.08%
Spain Government Bond 1.50 04/30/2027 (XSP0154)
0.08%
Republic Of Austria 6.25 07/15/2027
0.08%
Republic Of France 3.50 04/25/2026 (XFR0152)
0.08%
Kingdom of Belgium Government Bond 2.15 06/22/2066 (XBE0165)
0.08%
Italy Buoni Poliennali Del Tesoro 6.50 11/01/2027 (XIT0140)
0.08%
Australian Government Bond 5.75 07/15/2022
0.07%
Portugal Obrigacoes do Tesouro 2.25 04/18/2034
0.07%
Ireland Government Bond 2.00 02/18/2045
0.07%
United Kingdom Of Great Britain And Northern Ireland 8.00 06/07/2021 (XUK0046)
0.07%
Finland Government Bond 4.00 07/04/2025
0.07%
Portugal Obrigacoes Do Tesouro 5.65 02/15/2024
0.07%
Ireland Government Bond 2.40 05/15/2030
0.06%
Singapore Government Bond 2.75 07/01/2023
0.06%
Slovakia Government Bond 1.875 03/09/2037
0.06%
United Kingdom Of Great Britain And Northern Ireland 4.25 12/07/2049 (XUK0076)
0.06%
Spain Government Bond 1.95 07/30/2030 (XSP0143)
0.06%
Italy Buoni Poliennali Del Tesoro 5.00 03/01/2022 (XIT0246)
0.06%
Republic Of Austria 1.65 10/21/2024
0.06%
Luxembourg Government 2.125 07/10/2023
0.06%
Republic Of Slovenia 1.25 03/22/2027
0.06%
United Kingdom Of Great Britain And Northern Ireland 4.25 12/07/2040 (XUK0086)
0.06%
Republic Of France 0.75 05/25/2028 (XFR0252)
0.06%
Republic Of Lithuania 0.95 05/26/2027
0.06%
Netherlands Government Bonds 0.50 07/15/2026 (XNN0103)
0.06%
Republic Of France 3.75 04/25/2021 (XFR0122)
0.06%
Republic Of Austria 0.50 04/20/2027
0.06%
Kingdom of Belgium Government Bond 3.75 06/22/2045 (XBE0156)
0.06%
Poland Government Bond 1.75 07/25/2021
0.05%
Italy Buoni Poliennali Del Tesoro 2.80 03/01/2067 (XIT0296)
0.05%
Italy Buoni Poliennali Del Tesoro 3.45 03/01/2048 (XIT0302)
0.04%
Republic Of France 4.50 04/25/2041 (XFR0145)
0.04%
Republic of Austria Government Bond 2.10 09/20/2117
0.04%
Federal Republic Of Germany 6.25 01/04/2030 (XWG0263)
0.04%
Federal Republic Of Germany 4.75 07/04/2028 (XWG0247)
0.03%
Kingdom of Belgium Government Bond 3.00 06/22/2034 (XBE0158)
0.03%
Slovakia Government Bond 2.00 10/17/2047
0.03%
Russia Federal Bond 7.70 03/16/2039
0.02%
Confederation Of Switzerland 0.50 06/27/2032
0.02%
Deutsche X-trckrsBrclys IntlTrsBdHdgdETF (IGVT)
0%

IGVT Technicals

Alpha

0

Beta

-0.05

Leverage

Long

Standard Deviation

1.44

IGVT Dividends

Dividend Date

2019-10-01

Latest Dividend

0.024

Annual Dividend

1.21

Annual Dividend Rate

1.21

Annual Dividend Yield

2.29

IGVT Performance

YTD Return

7.47%

1 Year Return

8.18%

3 Year Return

0%

5 Year Return

0%

10 Year Return

5.96%

IGVT Related Articles

© 2019 Market data provided is at least 10-minutes delayed and hosted by Barchart Solutions.

Fundamental company data provided by Morningstar and Zacks Investment Research. Information is provided 'as-is' and solely for informational purposes, not for trading purposes or advice, and is delayed. To see all exchange delays and terms of use please see disclaimer.