Type of security: Fund
The data is delayed by 15 minutes.
BIV is in the long-term up 67% in 17 years.
Description: The investment seeks the performance of a market-weighted bond index with an intermediate-term dollar-weighted average maturity. The fund employs an indexing investment approach designed to track the performance of the Barclays U.S. 5-10 Year Government/Credit Float Adjusted Index. This index includes all medium and larger issues of U.S. government, investment-grade corporate, and investment-grade international dollar-denominated bonds that have maturities between 5 and 10 years and are publicly issued. All of the fund's investments will be selected through the sampling process, and at least 80% of the fund's assets will be invested in bonds held in the index.
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|High 52 week||83.48||Low 52 week||79.11||Last close||79.8||Last change||0.06%|
|RSI||77||Average true range||0.32||Beta||-0.07||Volume||626.29 K|
|Simple moving average 20 days||0.33%||Simple moving average 50 days||0.33%||Simple moving average 200 days||-0.22%|
|Performance Week||0.28%||Performance Month||0.14%||Performance Quart||-1.05%||Performance Half||-0.4%|
|Performance Year||-4.28%||Performance Year-to-date||-3.93%||Volatility daily||0.17%||Volatility weekly||0.37%|
|Volatility monthly||0.76%||Volatility yearly||2.63%||Relative Volume||317.71%||Average Volume||573.54 K|
|New High||New Low|
|30-day SEC yield||2.7||Average market capitalization||Average weighted market capitalization||Forward P/E|
|Gross expense ratio||Index dividend yield||Median market cap||Number of holdings||1522|
|Price to Book Value||Price to Earnings||Total expense ratio||0.1%||Total net assets||3.38 M|
|Weighted market capitalization|
|Total Expense Ratio||0,1|
|30 Day Sec Yield||2,7|
|Total Net Assets||3,376 million|
|Fund Total Net Assets||14,295 million|
|Number Of Holdings||1522|
|Under 1 Year||0,1|
|1 - 3 Years||0,3|
|3 - 5 Years||2,5|
|5 - 10 Years||97|
|10 - 20 Years||0,1|
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