102.38
0.20%
-0.209
iShares Barclays Government/Credit Bond Fund stock is currently priced at $102.38, with a 24-hour trading volume of 3,677.
It has seen a -0.20% decreased in the last 24 hours and a +1.25% rose in the past month.
The chart indicates a potential bearish trend, as the stock is below the $102.7 pivot point. If it approaches the $102.2 support level, significant changes may occur.
Previous Close:
$102.58
Open:
$102.4421
24h Volume:
3,677
Market Cap:
$N/A
Revenue:
-
Net Income/Loss:
-
P/E Ratio:
-
EPS:
-
Net Cash Flow:
-
1W Performance:
+0.60%
1M Performance:
+1.25%
6M Performance:
+1.21%
1Y Performance:
-2.19%
iShares Barclays Government/Credit Bond Fund Stock (GBF) Company Profile
Name
iShares Barclays Government/Credit Bond Fund
Sector
Industry
Phone
800-474-2737
Address
-
iShares Barclays Government/Credit Bond Fund Stock (GBF) Latest News
20 Best ESG Funds to Invest for Impact - The Impact Investor
The Impact Investor
Long Term Trading Analysis for (GBF) - Stock Traders Daily
Stock Traders Daily
International Assets Investment Management LLC Acquires Shares of 2270 iShares Government/Credit Bond ETF ... - Defense World
Defense World
Investing | bond market outlook | Fidelity - Fidelity Investments
Fidelity Investments
How the Largest Bond Funds Did Last Quarter - Morningstar
Morningstar
Best Bond Funds For Retirement Investors in May 2024 - Bankrate.com
Bankrate.com
iShares Barclays Government/Credit Bond Fund Stock (GBF) Financials Data
There is no financial data for iShares Barclays Government/Credit Bond Fund (GBF). Check out other stocks for more information.
About iShares Barclays Government/Credit Bond Fund
The investment seeks to track the investment results of the Bloomberg Barclays U.S. Government/Credit Bond Index (the "underlying index").
The underlying index measures the performance of U.S. dollar-denominated U.S. Treasury bonds, government-related bonds and investment-grade U.S. corporate bonds that have a remaining maturity of greater than or equal to one year. The fund generally invests at least 90% of its assets in securities of the underlying index. It may invest the remainder of its assets in certain futures, options and swap contracts, cash and cash equivalents, as well as in securities not included in the underlying index.
Cap:
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Volume (24h):