[BWZ] SPDR Barclays Capital Short Term Int ETF

Overview

Type of security: Fund

Tags: Bond, ETF, ex-US, Government debt, Government dept, Index Based, International, Investment Grade, Not Inversed, Regional, Short-Term, Treasury, Unleveraged

The data is delayed by 15 minutes.

 

Price: 29.23 Change: 0.03 (0.1%)
Ext. hours: Change: 0 (0%)

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Strongest Trends Summary For BWZ

BWZ is in the long-term down -6% in 1 year.

Horizon: 3 hours | 2 days | 5 days | 10 days | 1 month | 6 months | 1 year | 2 years | 5 years | max

Chart type: absolute | relative to S&P

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Description: The investment seeks to provide investment results that correspond generally to an index that tracks the short-term (1-3 year remaining maturity) fixed rate, investment grade debt issued by foreign governments of investment grade countries. Under normal market conditions, the fund generally invests substantially all, but at least 80%, of its total assets in the securities comprising the index or in securities that the Adviser determines have economic characteristics that are substantially identical to the economic characteristics of the securities that comprise the index. The fund is non-diversified.

Technical Data
High 52 week33.45 Low 52 week30.21 Last close31.13 Last change0.67%
RSI68.6 Average true range0.2 Beta0.12 Volume23.24 K
Simple moving average 20 days1.67% Simple moving average 50 days2.06% Simple moving average 200 days-0.95%
Performance Data
Performance Week1.69% Performance Month1.99% Performance Quart1.76% Performance Half-1%
Performance Year-2.7% Performance Year-to-date1.39% Volatility daily0.46% Volatility weekly1.04%
Volatility monthly2.13% Volatility yearly7.37% Relative Volume313.59% Average Volume59.97 K
New High New Low
Funds Characteristics
30-day SEC yield0.6 Average market capitalization Average weighted market capitalization Forward P/E
Gross expense ratio Index dividend yield Median market cap Number of holdings131
Price to Book Value Price to Earnings Total expense ratio0.35% Total net assets
Weighted market capitalization

Info

Characteristics:
NAME VALUE
30 Day Sec Yield0.60
Index Average Yield To Worst0.96
Modified Option-Adjusted Duration1.87
Number Of Holdings131
Total Expense Ratio0.35
Top Holdings:
NAME VALUE
Japan-1025 Year Issue 0.3 12/20/20162.45
Republic Of South Africa 13.5 09/15/20152.38
Buoni Poliennali Del Tes 2.25 05/15/20162.37
Japan-915 Year Issue 0.4 09/20/20152.07
Republic Of Austria 4 09/15/20161.89
Japan-1035 Year Issue 0.3 03/20/20171.88
Japan-985 Year Issue 0.3 06/20/20161.88
Japan-1005 Year Issue 0.3 09/20/20161.88
Japan-27810 Year Issue 1.8 03/20/20161.88
Kingdom Of Denmark 4 11/15/20151.73
Top Countries:
NAME VALUE
Japan22.94
Italy11.12
Germany10.37
S.korea4.73
Canada4.63
France4.61
Spain4.60
United Kingdom4.60
Netherlands4.57
Belgium3.88
Australia3.84
Austria3.45

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