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ESGGB - UBS ETF (LU) J.P. Morgan Global Government ESG Liquid Bond UCITS ETF A-Acc (USD) (LU1974693662)

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(%)
LU1974693662
ESGGB ISIN
Fonds négociés en bourse (FNB)
Type de fonds
UBS Global Asset Management
Fournisseur
9,69 USD
valeur liquidative par action | 15/06/2026
01/10/2019
Date de lancement
Non
Paiement de dividendes
CECGMS
CFI
ESGGB
Ticker
Formed
Status
Fixed Income
Objet d'investissement
Government bonds
Secteur
Global
Géographie
J.P. Morgan Global Government ESG Liquid Bond Index (Total Return)
Benchmark
0.15 %
Ratio de coût total
894,98 mln USD
Actif total du fonds | 15/06/2026
85,92 mln USD
Volume des actits de classe "actions" | 15/06/2026
Oui
UCITS

Rendement au 15/06/2026, SIX

  • YTD
    -2,33 %
  • 1M
    -1,1 %
  • 3M
    -1,56 %
  • 6M
    -2,7 %
  • 1Y
    -5,58 %
  • 3Y
    -9,38 %
  • 5Y
    -
  • 10Y
    -
Au prix de la bourse, avec prise en compte des paiements

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ESGGB profile

The UBS ETF (LU) J.P. Morgan Global Government ESG Liquid Bond UCITS ETF A-Acc (USD) is a(n) Fixed Income Exchange Traded Funds (ETF) seeks to invest in Government bonds sector located in Global. The UBS Global Asset Management fund’s base currency is USD and the share class was registered 01.10.2019 with unique ISIN - LU1974693662. Main exchange is SIX and ticker symbol is ESGGB. The total expense ratio is 0.15%. The UBS ETF (LU) J.P. Morgan Global Government ESG Liquid Bond UCITS ETF A-Acc (USD) pays dividends 0 time(s) per year.

Structure ESGGB au 10/06/2026

Titre Valeur
FRTR 2 1/2 05/25/30 0,33%
France, OAT 0.75% 25may2028, EUR 0,29%
France, OAT 2.75% 25feb2029, EUR 0,29%
France, OAT 1.5% 25may2031, EUR 0,28%
France, OAT 3.5% 25nov2033, EUR 0,28%
France, OAT 2.75% 25oct2027, EUR 0,28%
FRTR 2 3/4 02/25/30 0,28%
USA, Notes 4.25% 15nov2034, USD (F-2034) 0,27%
USA, Notes 4.25% 15may2035, USD (C-2035) 0,27%
USA, Notes 4.625% 15feb2035, USD (B-2035) 0,27%
USA, Notes 4.375% 15may2034, USD (C-2034) 0,26%
France, OAT 0.75% 25nov2028, EUR 0,26%
USA, Notes 4.25% 15aug2035, USD (E-2035) 0,26%
France, OAT 3.5% 25nov2035, EUR 0,26%
USA, Notes 4.125% 15feb2036, USD (B-2036) 0,26%
USA, Notes 1.625% 15may2031, USD (C-2031) 0,26%
USA, Notes 4% 15nov2035, USD (F-2035) 0,25%
United Kingdom, Gilt 4.375% 7mar2028, GBP 0,25%
France, OAT 1.25% 25may2034, EUR 0,25%
USA, Notes 2.875% 15may2032, USD (C-2032) 0,25%
France, OAT 0.5% 25may2029, EUR 0,25%
USA, Notes 1.875% 15feb2032, USD (B-2032) 0,24%
France, OAT 2.7% 25feb2031, EUR 0,24%
USA, Notes 3.875% 15aug2034, USD (E-2034) 0,24%
France, OAT 2% 25nov2032, EUR 0,24%
USA, Notes 1.125% 15feb2031, USD (B-2031) 0,24%
UKT 4 3/4 12/07/30 0,24%
France, OAT 3.2% 25may2035, EUR 0,24%
USA, Notes 1.25% 15aug2031, USD (E-2031) 0,24%
USA, Notes 1.375% 15nov2031, USD (F-2031) 0,24%
T 4 02/28/30 0,24%
UKT 4 3/8 03/07/30 0,24%
United Kingdom, Gilt 4.25% 7jun2032, GBP 0,23%
France, OAT 0% 25nov2031, EUR (4017D) 0,23%
USA, Notes 4% 15feb2034, USD (B-2034) 0,23%
USA, Notes 3.875% 15aug2033, USD (E-2033) 0,23%
T 0 7/8 11/15/30 0,23%
FRTR 0 11/25/30 0,23%
USA, Notes 4.5% 15nov2033, USD (F-2033) 0,23%
France, OAT 3% 25may2033, EUR 0,23%
France, OAT 0.75% 25feb2028, EUR 0,23%
USA, Notes 3.5% 31jan2028, USD (U-2028) 0,23%
France, OAT 1.25% 25may2036, EUR 0,22%
USA, Notes 2.75% 15aug2032, USD (E-2032) 0,22%
France, OAT 5.5% 25apr2029, EUR 0,22%
T 0 5/8 08/15/30 0,22%
United Kingdom, Gilt 4.75% 22oct2035, GBP 0,22%
France, OAT 2.4% 24sep2028, EUR 0,22%
USA, Notes 3.5% 15feb2033, USD (B-2033) 0,22%
United Kingdom, Gilt 4.5% 7mar2035, GBP 0,21%
United Kingdom, Gilt 1.25% 22jul2027, GBP 0,21%
USA, Notes 4.125% 15nov2032, USD (F-2032) 0,21%
France, OAT 3% 25nov2034, EUR 0,21%
United Kingdom, Gilt 3.75% 7mar2027, GBP 0,2%
USA, Notes 3.375% 15may2033, USD (C-2033) 0,2%
United Kingdom, Gilt 4.125% 22jul2029, GBP 0,2%
United Kingdom, Gilt 4.5% 7sep2034, GBP 0,2%
France, OAT 0% 25nov2029, EUR (4018D) 0,2%
France, OAT 4.5% 25apr2041, EUR 0,2%
United Kingdom, Gilt 0.875% 22oct2029, GBP 0,2%
France, OAT 0% 25may2032, EUR (4018D) 0,19%
United Kingdom, Gilt 1.625% 22oct2028, GBP 0,19%
United Kingdom, Gilt 0.125% 31jan2028, GBP 0,19%
France, OAT 4.75% 25apr2035, EUR 0,19%
France, OAT 2.5% 24sep2027, EUR 0,19%
T 0 5/8 05/15/30 0,19%
France, OAT 1% 25may2027, EUR 0,19%
United Kingdom, Gilt 4.5% 7jun2028, GBP 0,19%
USA, Notes 1.5% 31jan2027, USD (G-2027) 0,19%
France, OAT 0% 25feb2027, EUR (2191D) 0,19%
UKT 0 3/8 10/22/30 0,19%
United Kingdom, Gilt 4.125% 7mar2031, GBP 0,18%
France, OAT 5.75% 25oct2032, EUR 0,18%
United Kingdom, Gilt 4% 22oct2031, GBP 0,18%
United Kingdom, Gilt 4.25% 31jul2034, GBP 0,18%
United Kingdom, Gilt 0.25% 31jul2031, GBP 0,18%
FEDERAL REPUBLIC OF GERMANY BOND FIXED 2.9% 15/FEB/2036 EUR 0.01 0,17%
United Kingdom, Gilt 4.75% 22oct2043, GBP 0,17%
UKT 4 3/8 01/31/40 0,17%
United Kingdom, Gilt 4.125% 29jan2027, GBP 0,17%
Germany, Bund 2.3% 15feb2033, EUR 0,17%
United Kingdom, Gilt 4.625% 31jan2034, GBP 0,17%
United Kingdom, Gilt 4% 22may2029, GBP 0,17%
USA, Notes 1.625% 15aug2029, USD (E-2029) 0,16%
USA, Notes 1.75% 15nov2029, USD (F-2029) 0,16%
T 1 1/2 02/15/30 0,16%
USA, Bonds 4.75% 15may2055, USD 0,16%
United Kingdom, Gilt 0.875% 31jul2033, GBP 0,16%
USA, Notes 2.375% 15may2029, USD (C-2029) 0,16%
Germany, Bund 2.6% 15aug2034, EUR 0,16%
United Kingdom, Gilt 3.25% 31jan2033, GBP 0,16%
Germany, Bund 2.5% 15feb2035, EUR 0,15%
United Kingdom, Gilt 1% 31jan2032, GBP 0,15%
United Kingdom, Gilt 0.5% 31jan2029, GBP 0,15%
Germany, Bund 2.2% 15feb2034, EUR 0,15%
USA, Notes 4.125% 28feb2027, USD (AY-2027) 0,15%
USA, Notes 3.875% 31may2027, USD (BC-2027) 0,15%
US TREASURY N/B 0,15%
USA, Notes 4.125% 30nov2029, USD (AG-2029) 0,15%
US TREASURY N/B 0,15%
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