Expense ratio
0.1356%
TTM Yield
4.34%
Total Assets
46.89B
30 day SEC
4.13%
Share Outstanding
514.04M
Style
Ultrashort Term Bond

1 Month

BIL
0.34%
Peer
0.02%

1 Year

BIL
4.38%
Peer
5.91%

3 Year

BIL
4.14%
Peer
2.52%

5 Year

BIL
2.44%
Peer
1.97%

Top 5 Regions

Top 5 Sectors

Fund Assets Information

Asset Class
Fixed Income
Group
SPDR Bloomberg Barclays 1-3 Month T-Bill ETF
Net Assets
45.63B
AUM
46.89B
Market Capitalization
--
Dividend Amount
0.31156 USD
Dividend Yield
4.3435 % as of May 6, 2025
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Fund Statistics

Market Value
45.63B
Price to Book
--
Turnover
--
Return on Equity
--
Price to Earnings
--
Price to Cash Flow
--
Price to Revenue
--
Return on Assets
--
Beta
0.00101

Fund Matrix

Top 10 Holdings

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