Main features

IE00BCLWRB83Fees 0.25% Dividend Policy Distribution
CurrencyEURAuM (EUR) 91.91M Replication Method Direct (Physical)
Number of securities814AuM evolution - Date of creation 19/09/2013

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Investment objective

Asset ClassesFixed Income
Geographical FocusDeveloped markets
Theme and Sector -
The Fund seeks to track the performance of an index composed of US Dollar denominated investment grade corporate bonds.
Date Price Change
08/10/26 EUR 93.46 +0.16%
07/10/26 EUR 93.30 +0.64%
06/10/26 EUR 92.71 -0.25%
05/10/26 EUR 92.94 +0.46%
02/10/26 EUR 92.51 +0.06%
  1. Stock Market
  2. ETF
  3. IS3F ETF