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NASDAQ Global Select · 固定收益
US$75.635
−US$0.005 · -0.01%
· 8月24日 下午4:00 ET
US$75.635
US$0.00 · 0.00%
· 8月24日 下午4:10 ET
US$75.635
收盤時−US$0.005 · -0.01%
· 8月24日 下午4:00 ET
US$75.635
US$0.00 · 0.00%
· 8月24日 下午4:10 ET
US$75.64
US$0.00 · 0.00%
盤中時間採用ET。市場資料可能有所延遲。
This exchange-traded fund (ETF) aims to mirror the investment performance of a market-weighted U.S. Treasury index, which is characterized by an exceptionally short dollar-weighted average maturity. Its fundamental investment strategy is an indexing approach, specifically crafted to follow the Bloomberg Short Treasury Index. This benchmark index is comprised of debt instruments issued by the U.S. government that have maturities spanning up to 12 months. It deliberately omits certain types of bonds, such as inflation-protected securities, floating-rate debt, and a few other specific categories. Rather than holding every security within the index, the fund employs a sampling technique. This means it invests in a diverse selection of securities that, when considered collectively, closely replicate the complete index's principal risk factors and other defining characteristics. Under typical operating conditions, the fund allocates the vast majority, and certainly no less than 80%, of its assets to either the securities directly forming the Index or to other investments that the advisor deems to possess virtually identical economic traits. A key objective for the fund is to maintain a dollar-weighted average maturity consistent with that of its benchmark, which, under normal circumstances, is anticipated to fall between 1 and 12 months.
基金資產
10億 USD
費用率
0.07%
NAV
US$75.62
平均成交量
14.68萬
成交量
15.4萬
當日區間
US$75.635 – US$75.635
52 週區間
US$75.36 – US$76.00
前收盤價
US$75.64
價格變動
1 天
-0.01%
1 個月
+0.03%
3 個月
-0.05%
今年以來
+0.22%
1 年
+0.03%
3 年
+0.79%
5 年
+0.79%
價格變動不包括配息、費用、稅費及投資人特定的現金流。
投資組合
持股資料更新於 2026年8月24日。
投資組合構成
最新報導
更多基金
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ETF 資料可能延遲、不完整或被修訂。持股和曝險會隨時間變化。歷史表現不保證未來結果。本頁面僅供資訊和教育用途,不構成投資建議或推薦。