Investment opportunities through Exchange Traded Funds

FinEx Cash Equivalents UCITS ETF (USD)

Basic Information
Asset classFixed Income
Product typeRetail & Institutional
Inception date09.04.2019
Fund base currencyUSD
Reference indexSolactive 1-3 month US T-Bill Index
Reporting frequencySemi-Annually
Use of incomeNo Distribution
Minimum purchase1 share
Fund domicileIreland
Replication basisPhysical
Trading taxesNo UK stamp duty or SDRT
CFICEOGBS
Fee
Total expense ratio0.20%
Risk Information
Annual volatility0.23%
Annual volatility timeframe09.04.2019 - 15.05.2024
Tracking error14.91%
Tracking error timeframe09.04.2019 - 15.05.2024
NAV summary (09.04.2019 - 15.05.2024)
Unit NAV1.10
Unit class currency(NAV)USD
Fund AUM82 569 763
Shareclass AUM26 270 943
Shares in issue23 890 000
Structure
Replication methodFull replication
Security lending