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AGZD - WisdomTree Interest Rate Hedged U.S. Aggregate Bond Fund (USD) (US97717W3806)

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(%)
US97717W3806
AGZD ISIN
Fundusze notowane na giełdzie (ETF)
Rodzaj funduszu
WisdomTree
Usługodawca
22,6 USD
Wartość aktywów netto na akcję | 2026-07-15
2013-12-18
Data uruchomienia
12 raz(y) w roku
Wypłata dywidendy
CEOILS
CFI
AGZD
Symbol giełdowy
Formed
Status
Fixed Income
Obiekt inwestowania
Investment Grade
Sektor
USA
Zakres geograficzny
Bloomberg Rate Hedged U.S. Aggregate Bond Index, Zero Duration
Benchmark
0.23 %
Współczynnik całkowitych wydatków
127,68 mln USD
Łączna wartość aktywów funduszu | 2026-07-15
127,68 mln USD
Wartość aktywów klasy akcji | 2026-07-15
Nie
UCITS

Rentowność na 2026-07-22, NASDAQ

  • YTD
    2,11 %
  • 1M
    0,42 %
  • 3M
    1,41 %
  • 6M
    2,8 %
  • 1Y
    5,87 %
  • 3Y
    -40,25 %
  • 5Y
    -
  • 10Y
    -
Według ceny na giełdzie z uwzględnieniem wypłat dochodu

Ostatnie dane na
Ostatnie dane na 2026-07-15
Dodaj do porównania

Notowania (AGZD)

Poznaj najbardziej kompletną bazę danych

1 000 000

obligacje

100 000

akcje

175 910

ETF & Funds

100 000

indeksów

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Zmiana dynamiki cen

AGZD profile

The WisdomTree Interest Rate Hedged U.S. Aggregate Bond Fund (USD) is a(n) Fixed Income Exchange Traded Funds (ETF) seeks to invest in Investment Grade sector located in USA. The WisdomTree fund’s base currency is USD and the share class was registered 18.12.2013 with unique ISIN - US97717W3806. Main exchange is NASDAQ and ticker symbol is AGZD. The total expense ratio is 0.23%. The WisdomTree Interest Rate Hedged U.S. Aggregate Bond Fund (USD) pays dividends 12 time(s) per year.

Skład AGZD na 2026-05-14

Papier Wartość
US DOLLAR 100%
TRI-PARTY CITIGROUP GLOBAL MARKETS 2,14%
FNCL 6 6/23 6% 0,75%
US 5YR NOTE (CBT) JUN26 0,68%
G2SF 5.5 6/23 5.5% 0,64%
FNCL 5.5 6/16 5.5% 0,61%
Us Treasury N/B 4.125% 7/31/2031 0,58%
Us Treasury N/B 4.625% 2/15/2035 0,58%
Us Treasury N/B 4.125% 2/15/2036 0,56%
Us Treasury N/B 4.125% 3/31/2029 0,52%
US Treasury Note 2.75% 2/15/2028 0,52%
Us Treasury N/B 1.25% 4/30/2028 0,47%
US Treasury Note 2.875% 5/15/2028 0,47%
Us Treasury N/B 4% 11/15/2035 0,47%
US Treasury N/B 3.5% 1/31/2028 0,47%
FNCL 5 6/14 TBA 0,47%
US Treasury N/B 0.625% 12/31/2027 0,46%
US Treasury Note 3.875% 8/15/2033 0,45%
Us Treasury N/B 4.25% 11/15/2034 0,44%
Us Treasury N/B 4% 5/31/2030 0,44%
Us Treasury N/B 4.25% 6/30/2029 0,43%
Us Treasury N/B 4.5% 5/15/2027 0,42%
Us Treasury N/B 3.75% 8/31/2031 0,41%
Us Treasury N/B 3.875% 5/31/2027 0,41%
Us Treasury N/B 4% 2/15/2034 0,4%
Us Treasury N/B 3.375% 2/29/2028 0,4%
Us Treasury N/B 4.375% 11/30/2030 0,39%
Us Treasury N/B 4.625% 4/30/2031 0,39%
US Treasury N/B 2.75% 5/31/2029 0,39%
US Treasury N/B 1.125% 2/29/2028 0,38%
US Treasury Note 1.125% 2/15/2031 0,38%
Us Treasury N/B 3.75% 12/31/2028 0,37%
Us Treasury N/B 3.375% 12/31/2027 0,37%
FR SD8172 2% 10/1/2051 0,36%
US Treasury N/B 3.375% 5/15/2033 0,35%
US Treasury N/B 4% 2/28/2030 0,34%
Us Treasury N/B 4.25% 1/31/2030 0,34%
Us Treasury N/B 3.875% 4/30/2031 0,34%
Us Treasury N/B 4.125% 10/31/2029 0,34%
US Treasury Note 2.375% 5/15/2027 0,34%
US Treasury N/B 3.625% 3/31/2030 0,34%
Us Treasury N/B 4.375% 7/15/2027 0,33%
US TREASURY N/B 3.625 9/30/2031 0,33%
US Treasury N/B 1.625% 5/15/2031 0,32%
Us Treasury N/B 4% 1/31/2033 0,32%
US Treasury N/B 3.875% 12/31/2027 0,32%
Us Treasury N/B 3.875% 3/31/2028 0,32%
Us Treasury N/B 4% 3/31/2030 0,32%
US Treasury Note 3.125% 2/15/2042 0,31%
Us Treasury N/B 4.75% 5/15/2055 0,31%
Us Treasury N/B 3.875% 8/15/2034 0,31%
US Treasury Notes 2.25% 0,31%
Us Treasury N/B 1.25% 8/15/2031 0,31%
Us Treasury N/B 4.5% 11/15/2033 0,31%
US Treasury Note 2.875% 8/15/2028 0,31%
Us Treasury N/B 4.25% 2/15/2028 0,3%
Us Treasury N/B 4.25% 1/15/2028 0,3%
FN MA4437 2% 10/1/2051 0,29%
US Treasury N/B 1.375% 10/31/2028 0,29%
Us Treasury N/B 4.125% 11/30/2029 0,29%
Us Treasury N/B 3.875% 3/31/2031 0,29%
Us Treasury N/B 3.875% 5/15/2043 0,29%
Us Treasury N/B 3.5% 3/15/2029 0,29%
Morgan Stanley 3.591% 7/22/2028 0,28%
US 10YR ULTRA FUT JUN26 0,28%
US Treasury N/B 2.875% 4/30/2029 0,28%
FN FM5044 2% 12/1/2050 0,28%
US Treasury N/B 2.875% 5/15/2032 0,28%
US Treasury Note 1.75% 11/15/2029 0,28%
US Treasury N/B 1.375% 11/15/2031 0,27%
US 2YR NOTE (CBT) JUN26 0,27%
US LONG BOND(CBT) JUN26 0,27%
Us Treasury N/B 4.25% 8/15/2035 0,26%
Us Treasury N/B 4.25% 3/31/2033 0,26%
US Treasury N/B 3.25% 6/30/2029 0,26%
Us Treasury N/B 4.75% 11/15/2053 0,26%
US Treasury N/B 2.75% 8/15/2032 0,26%
G2SF 5 6/20 5% 0,26%
Us Treasury N/B 3.5% 2/28/2031 0,26%
US Treasury Note 1.5% 2/15/2030 0,25%
Us Treasury N/B 3.75% 6/30/2027 0,25%
US Treasury N/B 4% 10/31/2029 0,25%
US Treasury N/B 3.625% 5/31/2028 0,25%
Us Treasury N/B 3.875% 6/30/2030 0,25%
US Treasury Note 0.625% 8/15/2030 0,25%
Intl Bk Recon & Develop 0.875% 5/14/2030 0,25%
United Mexican States 6.875% 5/13/2037 0,25%
Us Treasury N/B 3.625% 10/31/2030 0,25%
Us Treasury N/B 4.5% 11/15/2054 0,25%
FNCL 6.5 6/23 6.5% 0,25%
Us Treasury N/B 3.875% 7/31/2027 0,24%
G2 MA8151 4.5% 7/20/2052 0,24%
Us Treasury N/B 4.125% 3/31/2032 0,24%
Us Treasury N/B 4.625% 11/15/2055 0,24%
Us Treasury N/B 4.75% 2/15/2056 0,24%
US Treasury N/B 3.875% 4/15/2029 0,24%
Us Treasury N/B 3.75% 4/30/2028 0,24%
US Treasury N/B 2% 11/15/2041 0,23%
Us Treasury N/B 4.625% 5/15/2054 0,23%
Us Treasury N/B 3.625% 8/31/2027 0,23%
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