iShares VII$TBILLS 3-7YR GBP Hedgd£ Net Asset Value(s) (2024)

iShares VII$TBILLS 3-7YR GBP Hedgd£ Net Asset Value(s)

iShares VII$TBILLS 3-7YR GBP Hedgd£ Net Asset Value(s) (1)

Funds

Date

ISIN code

Shares in Issue

Currency

Net Asset Value

NAV/per share Base

iShares $ Treasury Bond 3-7yr UCITSETF GBP Hedged (Dist)

23/05/2024

IE00BJJPVP04

125837190

GBP

564239465.18

4.484

This information is provided by RNS, the news service of theLondon Stock Exchange. RNS is approved by the Financial ConductAuthority to act as a Primary Information Provider in the UnitedKingdom. Terms and conditions relating to the use and distributionof this information may apply. For further information, pleasecontact rns@lseg.com or visitwww.rns.com.

RNS may use your IP address to confirm compliance with the termsand conditions, to analyse how you engage with the informationcontained in this communication, and to share such analysis on ananonymised basis with others as part of our commercial services.For further information about how RNS and the London Stock Exchangeuse the personal data you provide us, please see our PrivacyPolicy.

END

NAVPPUCGAUPCUWC

Ish Ust 3-7yr ? (LSE:CBUG)
Historical Stock Chart
From May 2024 to Jun 2024

Ish Ust 3-7yr ? (LSE:CBUG)
Historical Stock Chart
From Jun 2023 to Jun 2024

iShares VII$TBILLS 3-7YR GBP Hedgd£ News

Loading Messages....

`,data() {return {tabs: [] };},created() {this.tabs = this.$children;},methods: {selectTab(selectedTab) {this.tabs.forEach(tab => {tab.isActive = (tab.name == selectedTab.name);});}}});Vue.component('tab', {template: `

`,props: {name: { required: true },selected: { default: false}},data() {return {isActive: false};},computed: {href() {return '#' + this.name.toLowerCase().replace(/ /g, '-');}},mounted() {this.isActive = this.selected;}});Vue.component('newslist', {template: `

No News, be the first to add your company releases.

`,props: {source: { required: true },rawarticles: { required: true },limit: { default: 12 }},methods: {processData: function(articles){if(articles.length > this.limit){articles = articles.slice(0, this.limit);}this.articles = articles;this.loaded = true;Vue.nextTick(function(){});},stripRedudancies: function(articles){return _.uniqBy(articles, "headline");}},data() {return {loaded: false,articles: []};},mounted() {this.processData(this.rawarticles);}});new Vue({el: '#nw-news-widget',data: {loaded: false,availableTabs: {"Press Releases": [{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 31 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 31 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93956339\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1717135807,"date":"Fri May 31, 2024 ","time":"2:10 AM (2 days ago)","full_date":"May 31, 2024 2:10 AM","post_time":"May 31 2024","article_id":93956339,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 30 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 30 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93948295\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1717049408,"date":"Thu May 30, 2024 ","time":"2:10 AM (3 days ago)","full_date":"May 30, 2024 2:10 AM","post_time":"May 30 2024","article_id":93948295,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 29 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 29 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93939299\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716963008,"date":"Wed May 29, 2024 ","time":"2:10 AM (4 days ago)","full_date":"May 29, 2024 2:10 AM","post_time":"May 29 2024","article_id":93939299,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 28 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 28 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93931284\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716876607,"date":"Tue May 28, 2024 ","time":"2:10 AM (5 days ago)","full_date":"May 28, 2024 2:10 AM","post_time":"May 28 2024","article_id":93931284,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 24 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 24 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93920577\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716531007,"date":"Fri May 24, 2024 ","time":"2:10 AM (1 week ago)","full_date":"May 24, 2024 2:10 AM","post_time":"May 24 2024","article_id":93920577,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 23 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 23 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93911908\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716444608,"date":"Thu May 23, 2024 ","time":"2:10 AM (1 week ago)","full_date":"May 23, 2024 2:10 AM","post_time":"May 23 2024","article_id":93911908,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 22 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 22 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93903572\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716358207,"date":"Wed May 22, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 22, 2024 2:10 AM","post_time":"May 22 2024","article_id":93903572,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 21 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 21 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93894439\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716271808,"date":"Tue May 21, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 21, 2024 2:10 AM","post_time":"May 21 2024","article_id":93894439,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 20 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 20 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93886141\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716185403,"date":"Mon May 20, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 20, 2024 2:10 AM","post_time":"May 20 2024","article_id":93886141,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 17 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 17 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93875123\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715926199,"date":"Fri May 17, 2024 ","time":"2:09 AM (2 weeks ago)","full_date":"May 17, 2024 2:09 AM","post_time":"May 17 2024","article_id":93875123,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 16 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 16 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93863792\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715839808,"date":"Thu May 16, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 16, 2024 2:10 AM","post_time":"May 16 2024","article_id":93863792,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 15 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 15 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93852140\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715753403,"date":"Wed May 15, 2024 ","time":"2:10 AM (3 weeks ago)","full_date":"May 15, 2024 2:10 AM","post_time":"May 15 2024","article_id":93852140,"source_id":"lseg_rns","media_url":null,"press_release":true}],"All News": [{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 31 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 31 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93956339\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1717135807,"date":"Fri May 31, 2024 ","time":"2:10 AM (2 days ago)","full_date":"May 31, 2024 2:10 AM","post_time":"May 31 2024","article_id":93956339,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 30 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 30 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93948295\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1717049408,"date":"Thu May 30, 2024 ","time":"2:10 AM (3 days ago)","full_date":"May 30, 2024 2:10 AM","post_time":"May 30 2024","article_id":93948295,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 29 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 29 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93939299\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716963008,"date":"Wed May 29, 2024 ","time":"2:10 AM (4 days ago)","full_date":"May 29, 2024 2:10 AM","post_time":"May 29 2024","article_id":93939299,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 28 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 28 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93931284\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716876607,"date":"Tue May 28, 2024 ","time":"2:10 AM (5 days ago)","full_date":"May 28, 2024 2:10 AM","post_time":"May 28 2024","article_id":93931284,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 24 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 24 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93920577\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716531007,"date":"Fri May 24, 2024 ","time":"2:10 AM (1 week ago)","full_date":"May 24, 2024 2:10 AM","post_time":"May 24 2024","article_id":93920577,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 23 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 23 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93911908\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716444608,"date":"Thu May 23, 2024 ","time":"2:10 AM (1 week ago)","full_date":"May 23, 2024 2:10 AM","post_time":"May 23 2024","article_id":93911908,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 22 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 22 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93903572\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716358207,"date":"Wed May 22, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 22, 2024 2:10 AM","post_time":"May 22 2024","article_id":93903572,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 21 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 21 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93894439\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716271808,"date":"Tue May 21, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 21, 2024 2:10 AM","post_time":"May 21 2024","article_id":93894439,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 20 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 20 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93886141\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1716185403,"date":"Mon May 20, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 20, 2024 2:10 AM","post_time":"May 20 2024","article_id":93886141,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 17 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 17 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93875123\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715926199,"date":"Fri May 17, 2024 ","time":"2:09 AM (2 weeks ago)","full_date":"May 17, 2024 2:09 AM","post_time":"May 17 2024","article_id":93875123,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 16 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 16 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93863792\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715839808,"date":"Thu May 16, 2024 ","time":"2:10 AM (2 weeks ago)","full_date":"May 16, 2024 2:10 AM","post_time":"May 16 2024","article_id":93863792,"source_id":"lseg_rns","media_url":null,"press_release":true},{"headline":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 Net Asset Value(s)","short_text":" iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 15 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares $ Treasury Bond 3-7yr UCITS ETF GBP Hedged (Dist...","one_line_short_text":"iShares VII$TBILLS 3-7YR GBP Hedgd\u00a3 15 May 2024 \u00a0 Funds Date ISIN code Shares in Issue Currency Net Asset Value NAV\/per share Base iShares...","link":"https:\/\/www.advfn.com\/stock-market\/london\/CBUG\/stock-news\/93852140\/ishares-vii-tbills-3-7yr-gbp-hedgd-net-asset-valu","source":"RNS Regulatory News","source_logo":"\/common\/images\/news-sources\/lseg_rns.png","tags":["REGULATORY"],"timestamp":1715753403,"date":"Wed May 15, 2024 ","time":"2:10 AM (3 weeks ago)","full_date":"May 15, 2024 2:10 AM","post_time":"May 15 2024","article_id":93852140,"source_id":"lseg_rns","media_url":null,"press_release":true}],"Preferred Contributors": ""}},created: function () {this.loaded = true;Vue.nextTick(function(){});}});});

More iShares VII$TBILLS 3-7YR GBP Hedgd£ News Articles

iShares VII$TBILLS 3-7YR GBP Hedgd£ Net Asset Value(s) (2024)

FAQs

What are iShares Treasury bonds? ›

The iShares 20+ Year Treasury Bond ETF seeks to track the investment results of an index composed of U.S. Treasury bonds with remaining maturities greater than twenty years.

What is the expense ratio of a Treasury ETF? ›

With 93 ETFs traded on the U.S. markets, Treasury ETFs have total assets under management of $390.91B. The average expense ratio is 0.27%. Treasury ETFs can be found in the following asset classes: Fixed Income.

Can I buy $10,000 worth of I bonds every year? ›

Paper I bonds are only available in multiples of $50.” There are also limits on how many I bonds you can buy each year. Individual purchase limits for I bonds are $15,000 per calendar year — $10,000 worth of electronic I bonds and $5,000 worth of paper I bonds.

How much is a $100 savings bond worth after 20 years? ›

How to get the most value from your savings bonds
Face ValuePurchase Amount20-Year Value (Purchased May 2000)
$50 Bond$100$109.52
$100 Bond$200$219.04
$500 Bond$400$547.60
$1,000 Bond$800$1,095.20

Top Articles
Latest Posts
Article information

Author: Edwin Metz

Last Updated:

Views: 6378

Rating: 4.8 / 5 (78 voted)

Reviews: 85% of readers found this page helpful

Author information

Name: Edwin Metz

Birthday: 1997-04-16

Address: 51593 Leanne Light, Kuphalmouth, DE 50012-5183

Phone: +639107620957

Job: Corporate Banking Technician

Hobby: Reading, scrapbook, role-playing games, Fishing, Fishing, Scuba diving, Beekeeping

Introduction: My name is Edwin Metz, I am a fair, energetic, helpful, brave, outstanding, nice, helpful person who loves writing and wants to share my knowledge and understanding with you.