BLV - Long-Term Bond ETF Fundamentals

BLV Tracks This Index: Barclays Capital U.S. Long Government/Credit Bond Index
Description: The Barclays Capital Long Government/Credit Index measures the investment return of all medium and larger public issues of U.S. Treasury, agency, investment-grade corporate, and investment-grade international dollar-denominated bonds with maturities longer than 10 years. The average maturity is approximately 20 years.

BLV Performance

1 Week Return: -0.35%
2 Week Return: 1.22%
4 Week Return: 2.69%
13 Week Return: 4.04%
26 Week Return: 2.49%
YTD Return: 2.39%
1 Year Return: 18.61%
3 Year Return: 47.97%
5 Year Return: 59.58%
Data as of 05/22/2012

BLV Expenses & Fees

  • Expense Ratio: 0.14%
  • Category: Total Bond Market
  • Category Range: 0.1% to 0.95%
  • Category Average: 0.27%

BLV Valuation

P/E Ratio: n/a
Beta: -0.58
20 Day Moving Average: $92.32
60 Day Moving Average: $90.51
Data as of 05/22/2012

BLV Dividend

Annual Dividend Rate: $3.19
Dividend Date: 2012-05-01
Dividend: $0.32
Annual Dividend Yield %: 3.41%
Data as of 05/22/2012

BLV Volatility

5 Day Volatility: 38.71%
20 Day Volatility: 6.07%
50 Day Volatility: 9.54%
200 Day Volatility: 9.24%
Standard Deviation: 4.58%
Data as of 05/22/2012

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