iShares Lehman MBS Fixed-Rate Bond Fund - MBBLogo
Last Sale Net Change Volume IIV Last Updated
N.A. N.A. N.A. N.A. N.A.


Profile Total Return Premium/Discount Distributions

Description
The fund seeks investment results that correspond generally to the price and yield performance of the investment grade agency mortgage-backed securities sector of the United States as defined by the Lehman Brothers US MBS Fixed-Rate Index.

Fund Details
 
Expense Ratio .25
Trading Increment .01
Minimum Trade Size 1
Marginable Y
Options Traded Yes
Administrator Investors Bank & Trust Company
Distributor SEI Investments Distribution Co
Trustee N.A.

Symbols
 
Trading SymbolIntraday Indicative ValueNet Asset ValueShares OutstandingEstimated Cash ComponentTotal Cash ComponentUnderlying Index Symbol
MBBMBB.IVMBB.NVMBB.SOMBB.EUMBB.TCLUMSSIUU


Quick Facts as of 02/08/10
Last Sale N.A.
(N.A.)
Net Change N.A.
% Change N.A.
Previous Close N.A.
Open N.A.
Today's High N.A.
Today's Low N.A.
Today's Volume N.A.
52 Week High N.A.
52 Week Low N.A.
Shares Outstanding (000s) 6,100
Net Assets $0

 
Chart

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Holdings

Holdings information for this issue can be found on the issuer's website below.

IssuerWebsite
iShareswww.ishares.com