GIST

Lyxor Core Global Inflation-Linked 1-10Y Bond (DR) UCITS ETF - Dist

Latest NAV
11.4925 USD
Performance YTD

2.48%

Assets Under Management
120m USD
TER
0.09%
ISIN
LU1910939849
Dividend Policy
Distribution
Investment Objective

The investment objective of Lyxor Core Global Inflation-Linked 1-10Y Bond (DR) UCITS ETF - Dist is to reflect the performance of the Bloomberg Barclays Global Inflation-Linked 1-10 Year Index Unhedged USD (the "Benchmark Index") denominated in US Dollars and representative of the government local currency inflation-linked debt from developed market countries. Lyxor ETFs are efficient investment vehicles listed on exchange that offer transparent, liquid and low-cost exposure to the underlying benchmark index.

GIST

Lyxor Core Global Inflation-Linked 1-10Y Bond (DR) UCITS ETF - Dist

PERFORMANCE

Performance history

Legend:

The figures relating to [past performances / simulated past performances / past performances and simulated past performances] refer or relate to past periods and are not a reliable indicator of future results. This also applies to historical market data.

Product YTD 1M 3M 1Y 3Y 5Y 10Y ALL
Lyxor Core Global Inflation-Linked 1-10Y Bond (DR) UCITS ETF - Dist ETF 2.48% 1.44% 1.81% 6.7% - - - 15.27%
Bloomberg Barclays Global Inflation-Linked 1-10 Year Index Unhedged USD Benchmark Index 2.46% 1.45% 1.8% 6.73% - - - 15.4%
Data as of 28/07/2021, Source: Lyxor International Asset Management
Product 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Lyxor Core Global Inflation-Linked 1-10Y Bond (DR) UCITS ETF - Dist ETF 8.28% - - - - - - - - -
Bloomberg Barclays Global Inflation-Linked 1-10 Year Index Unhedged USD Benchmark Index 8.41% - - - - - - - - -
Data as of 28/07/2021, Source: Lyxor International Asset Management
Product 1Y
Lyxor Core Global Inflation-Linked 1-10Y Bond (DR) UCITS ETF - Dist ETF 6.7%
Bloomberg Barclays Global Inflation-Linked 1-10 Year Index Unhedged USD Benchmark Index 6.73%
Data as of 28/07/2021, Source: Lyxor International Asset Management

NAV History

Date NAV Currency Fund AUM
28/07/2021 11.4432 USD 119m USD
27/07/2021 11.4355 USD 119m USD
26/07/2021 11.4169 USD 119m USD
23/07/2021 11.3701 USD 118m USD
22/07/2021 11.3535 USD 118m USD

Dividend History

Date Amount Currency
07/07/2021 0.07 USD
08/07/2020 0.06 USD
10/07/2019 0.03 USD

HOLDINGS

This ETF uses physical replication to track the performance of the index. As such, the holdings of the ETF reflect those of the benchmark index.
You can read more about our approach to replication in our pragmatic guide to replication.

Name Currency Weight Sector Country
TII 0 1/8 01/15/23 USD 2.4% Communication Services United States
TII 0 3/8 07/15/23 USD 2.4% Communication Services United States
TII 0 5/8 01/15/24 USD 2.34% Communication Services United States
TII 0 1/8 01/15/31 USD 2.24% Communication Services United States
TII 0 1/4 01/15/25 USD 2.15% Communication Services United States
TII 0 3/8 07/15/25 USD 2.15% Communication Services United States
TII 0 1/8 07/15/24 USD 2.12% Communication Services United States
TII 0 5/8 04/15/23 USD 2.07% Communication Services United States
TII 0 1/8 07/15/30 USD 2.07% Communication Services United States
UKTI 1 1/4 11/22/27 GBP 2.01% Government United Kingdom
Name Listing Currency Quantity Weight Sector Country
TII 0 1/8 01/15/23 USD 23,493.41 2.4% Communication Services United States
TII 0 3/8 07/15/23 USD 23,244.07 2.4% Communication Services United States
TII 0 5/8 01/15/24 USD 22,635.9 2.34% Communication Services United States
TII 0 1/8 01/15/31 USD 23,154.46 2.24% Communication Services United States
TII 0 1/4 01/15/25 USD 20,805.49 2.15% Communication Services United States
TII 0 3/8 07/15/25 USD 20,342.93 2.15% Communication Services United States
TII 0 1/8 07/15/24 USD 20,676.5 2.12% Communication Services United States
TII 0 5/8 04/15/23 USD 21,505.55 2.07% Communication Services United States
TII 0 1/8 07/15/30 USD 20,956.25 2.07% Communication Services United States
UKTI 1 1/4 11/22/27 GBP 6,112.67 2.01% Government United Kingdom

This funds does not use sec/lending

Index Information

Full Name Bloomberg Barclays Global Inflation-Linked 1-10 Year Index Unhedged USD
Index Type Performance
Index Bloomberg Ticker LR10TRUU
Index Currency USD
Number of Index Components 86

INDEX ANALYTICS

Coupon Rate (%) 0.87
Yield (%) -2
Duration (Years) 4.92
Modified Duration (Years) 4.92
Maturity (Years) 5.2
Convexity (%) 0.34
Data as of 28/07/2021

Index Composition Breakdown

Currency Breakdown

USD 53.43%
EUR 24.92%
GBP 12.95%
JPY 5.28%
AUD 1.09%
SEK 1.01%
NZD 0.47%
CAD 0.45%
DKK 0.41%

Maturity Breakdown

0-1Y 3.41%
1-3Y 24.7%
3-5Y 26.95%
5-7Y 20.11%
7-10Y 24.82%

Ratings Breakdown

AAA 6.92%
AA 78.08%
A 5.64%
BBB 9.36%

Sector Breakdown

Government 100%

Countries Breakdown

United States 53.43%
United Kingdom 12.95%
France 11.23%
Italy 6.44%
Japan 5.28%
Germany 3.97%
Spain 3.28%
Australia 1.09%
Sweden 1.01%
New Zealand 0.47%
Canada 0.45%
Denmark 0.41%
Data as of 27/07/2021, Source: Lyxor International Asset Management

CHARACTERISTICS

Main Fund Characteristics

ISIN LU1910939849
UCITS Yes
Share Class Currency USD
Assets Under Management 119.9m USD
Total Expense Ratio 0.09%
Dividend Treatment Distribution
EU-SD Status In Scope
Fund Type SICAV
Domicile Luxembourg
Replication Method Direct (Physical)
Sampling Yes
Securities Lending No
Umbrella AUM 55,674.6m USD
Portfolio Managers Raphaël Dieterlen, Ghassen Menchaoui
Financial Year End 31/12/2021
Inception Date 23/01/2019
Minimum Investment 1 Share
SFDR Classification 6

DISCLAIMER: This fund includes a risk of capital loss. Investors therefore may not recover all or part of their initial investment. The redemption value of this fund may be less than the amount initially invested. In a worst case scenario, investors could sustain the loss of their entire investment. Be sure to read carefully the Key Investor Information document, and the “risk factors” section of a fund’s performance to better understand the risks involved.

Trading Information

Exchange Ticker Bloomberg Listing Currency Currency Hedged Listing Date Dividend Policy ADV 3M ISIN Fund AUM in CCY
Borsa Italiana GIST IM EUR - 03/07/2019 Distribution 73,369EUR LU1910939849 101m EUR
SIX Swiss Ex GIST SW CHF - 13/06/2019 Distribution 22,527CHF LU1910939849 109m CHF
LSE GIST LN USD - 12/03/2019 Distribution 18,264USD LU1910939849 119m USD
Borsa Italiana* GISE IM EUR EUR 27/04/2021 Distribution 11,362EUR LU1910940268 101m EUR
LSE* GISG LN GBP GBP 22/04/2021 Distribution 54,071GBP LU1910940425 86m GBP
SIX Swiss Ex* GISE SW EUR EUR 13/06/2019 Distribution 36,602EUR LU1910940268 101m EUR
*Related Shareclasses

Market Makers

Flow Traders
Société Générale
Data provided by relevant exchanges

Passporting Information

UK
Luxembourg
France
Spain
Germany
Italy
Netherlands
Sweden
Switzerland
Data as of 28/07/2021, Source: Lyxor International Asset Management

NEWS

Notice to Shareholders
06/05/2021

Notice to Shareholders Annual general meeting Multi Units Luxembourg

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