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Chicago Board Options Exchange · Fixed Income
$36.68
−$0.22 · -0.60%
· Aug 21, 3:59 PM ET
$36.68
Previous close−$0.22 · -0.60%
· Aug 21, 3:59 PM ET
$36.68
−$0.22 · -0.60%
Regular session · ET · Market data may be delayed.
The iPath Select MLP ETNs (the "ETNs") are linked to the performance of the Volume-Weighting Average Price ("VWAP") level of the CIBC Atlas Select MLP Index (the "Index"). The ETNs are riskier than ordinary unsecured debt securities and have no principal protection. The ETNs are unsecured debt obligations of the issuer, Barclays Bank PLC, and are not, either directly or indirectly, an obligation of or guaranteed by any third party. Any payment to be made on the ETNs, including any payment at maturity or upon redemption, depends on the ability of Barclays Bank PLC to satisfy its obligations as they come due. The ETNs are exposed to any decrease in the VWAP level of the Index between the inception date and the applicable valuation date. An investment in the ETNs involves significant risks, including possible loss of principal, and may not be suitable for all investors. The Index is designed to provide exposure to a basket of midstream U.S. and Canadian master limited partnerships, limited liability companies and corporations (collectively, the "Index Constituents") that trade on major U.S. exchanges, are classified in the GICS®Energy Sector or GICS® Gas Utilities Industry according to the Global Industry Classification Standard® ("GICS") and meet certain eligibility criteria, including long-term credit rating, the portion of cash flow driven by mid-stream operations and size as measured by free-float market capitalization and average daily trading value. Owning the ETNs is not the same as owning interests in the Index Constituents or a security directly linked to the performance of the Index. Owning the ETNs is not the same as owning interest in the Index Constituents or a security directly linked to the performance of the Index. For more information on the risks associated with the ETNs, please see "Selected Risk Considerations" below and the risk factors included in the relevant prospectus.
Fund assets
670.16M USD
Expense ratio
0.95%
NAV
$35.90
Average volume
16.47K
Volume
0
Day range
$36.525 – $37.255
52-week range
$27.23 – $37.38
Previous close
$36.90
Price change
1 day
-0.60%
1 month
-0.27%
3 months
+0.19%
Year to date
+27.49%
1 year
+27.18%
3 years
+74.25%
5 years
+141.79%
Price changes exclude distributions, fees, taxes, and investor-specific cash flows.
Fund income
Aug 28, 2026
Quarterly
Aug 28, 2026
Sep 8, 2026
$0.40
May 29, 2026
Quarterly
May 29, 2026
Jun 8, 2026
$0.4088
Mar 2, 2026
Quarterly
Mar 2, 2026
Mar 10, 2026
$0.3929
Dec 1, 2025
Quarterly
Dec 1, 2025
Dec 9, 2025
$0.3981
Aug 28, 2025
Quarterly
Aug 28, 2025
Sep 8, 2025
$0.3812
May 29, 2025
Quarterly
May 29, 2025
Jun 6, 2025
$0.3801
Mar 3, 2025
Quarterly
Mar 3, 2025
Mar 11, 2025
$0.3184
Nov 29, 2024
Quarterly
Nov 29, 2024
Dec 9, 2024
$0.3511
Aug 28, 2024
Quarterly
Aug 28, 2024
Sep 6, 2024
$0.3344
May 29, 2024
Quarterly
May 29, 2024
Jun 6, 2024
$0.3398
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ETF data may be delayed, incomplete, or revised. Holdings and exposures change over time. Historical performance does not guarantee future results. This page is for informational and educational purposes only and does not constitute investment advice or a recommendation.