关于本ETF
RBIL stands out as the pioneering exchange-traded fund dedicated solely to ultra-short, high-quality Treasury Inflation-Protected Securities (TIPS). These income-generating financial instruments, guaranteed by the U.S. Treasury, feature principal and interest payments that adjust to inflation, thereby serving as a protective measure against rising prices. However, TIPS commonly offer more modest returns compared to traditional fixed-rate bonds. This passively managed fund strategically targets reduced risk and volatility by concentrating its investments on shorter-dated securities, thus avoiding the elevated interest rate sensitivity inherent in longer-duration TIPS. Its portfolio maintains an equal weighting among its constituent bonds, which possess residual maturities ranging from one to thirteen months (e.g., 1-2 months, 2-3 months, and so on). The fund also retains the option to participate in securities lending activities. The associated index undergoes rebalancing on the final business day of each calendar month.
来自基金数据提供商的描述 · 截至以下日期的概况: Oct 10, 2026.
价格走势图
每日收盘价(价格回报,非总回报)。对比折线图以区间起始点为基准,标准化为百分比变动。 来源: Financial Modeling Prep.
业绩表现
| 1M | 3M | 6M | YTD | 1Y | 3Y* | 5Y* | 10Y* | 成立* | |
|---|---|---|---|---|---|---|---|---|---|
| 价格回报 | -0.08% | +0.02% | -0.04% | +0.77% | -0.16% | — | — | — | +0.01% |
| 总回报 | -0.08% | +0.22% | +1.25% | +2.90% | +3.35% | — | — | — | +3.61% |
* 已年化。总回报率采用股息调整后价格序列计算(分红再投入);价格回报率采用未经调整的收盘价计算。 业绩截至 Oct 09, 2026. 过往业绩不代表未来表现。
费率
| 净费率 | 0.17% | 每10,000美元投资的年化费用 | $17.00 |
仅供示意的费用测算:费用率 × $10,000。不含交易成本、买卖价差、税费及投资价值变动。总费用率与净费用率的详情及任何费用减免安排,请参阅招募说明书。
持仓明细
持仓数据截至 Oct 10, 2026 · 数据提供商报告的投资组合日期;持仓数据非实时仓位。 6 数据库总行数.
| # | 持仓 | 代码 | 权重 | 股票 | 市值 |
|---|---|---|---|---|---|
| 1 | United States Treasury Inflation Indexed Bonds… | — | 25.08% | 0 | $43.0M |
| 2 | United States Treasury Inflation Indexed Bonds… | — | 24.90% | 0 | $42.7M |
| 3 | United States Treasury Inflation Indexed Bonds… | — | 24.72% | 0 | $42.4M |
| 4 | United States Treasury Inflation Indexed Bonds… | — | 17.58% | 0 | $30.2M |
| 5 | United States Treasury Inflation Indexed Bonds… | — | 7.41% | 0 | $12.7M |
| 6 | Cash & Other | — | 0.29% | 0 | $504.2K |
点击股票代码,查看所有持有该证券的ETF。
分红记录
| 收益率(TTM) | 4.14% | 已派发(过去12个月) | $2.0723 |
| 频率 | Monthly | SEC收益率 | 我们的数据来源未提供此项,请参阅发行商页面 |
| 最近除息日 | Sep 16, 2026 | 最近派息 | $0.2455 (Sep 17, 2026) |
| 1年增长率 | — | 3年/5年增长率(年化) | — / — |
| 除息日 | 股权登记日 | 派息日 | 金额 |
|---|---|---|---|
| Sep 16, 2026 | Sep 16, 2026 | Sep 17, 2026 | $0.2455 |
| Aug 18, 2026 | Aug 18, 2026 | Aug 19, 2026 | $0.1200 |
| Jul 16, 2026 | Jul 16, 2026 | Jul 17, 2026 | $0.1000 |
| Jun 16, 2026 | Jun 16, 2026 | Jun 17, 2026 | $0.0500 |
| May 18, 2026 | May 18, 2026 | May 19, 2026 | $0.3050 |
| Apr 16, 2026 | Apr 16, 2026 | Apr 17, 2026 | $0.1790 |
| Mar 17, 2026 | Mar 17, 2026 | Mar 18, 2026 | $0.1829 |
| Feb 17, 2026 | Feb 17, 2026 | Feb 18, 2026 | $0.1291 |
| Jan 16, 2026 | Jan 16, 2026 | Jan 20, 2026 | $0.0898 |
| Dec 16, 2025 | Dec 16, 2025 | Dec 17, 2025 | $0.2610 |
| Nov 18, 2025 | Nov 18, 2025 | Nov 19, 2025 | $0.2499 |
| Oct 17, 2025 | Oct 17, 2025 | Oct 20, 2025 | $0.1600 |
追踪分派收益率 = 过去 12 个月现金分派 ÷ 当前价格。此数据并非 SEC 30 日收益率,且分派金额不保证持续。 差异解析 →
风险统计
| 波动率 1年 / 3年 | 1.13% / — | 夏普比率(1年)/(3年) | -0.611 / — |
| 最大回撤 1年 / 3年 | -0.58% / — | 索提诺比率(1年) | -0.856 |
| 相对标普500的Beta值(近3年) | -0.016 | 与标普500的相关性(1年) | -0.262 |
| 下行偏差 1年 | 0.81% | 所用无风险利率 | 4.05% (3M T-bill, FRED) |
计算方式: ETF Explorer 基于每日股息调整后收盘价;波动率与最大回撤已年化/按区间计算;标普500敞口以SPY作为代理指标。 截至 Oct 11, 2026. 计算公式 →
流动性
| 今日成交量 | 11.35K | 平均成交量 | 39.73K |
| AUM | $169.8M | 溢价/折价 | +0.04% |
| 买卖价差 | 我们的数据来源未提供此信息。请查看您券商的报价页面;买卖价差在开盘和收盘时最大。 | ||
溢价/折价将延迟市场价格与最新报告NAV进行对比,为参考性数据,非官方收盘溢价/折价。 ETF流动性机制详解 →
资金流量(估算)
| 期间 | 预估净流量 | 占初始AUM的% | AUM期初→期末 |
|---|---|---|---|
| 1日 | $150.0K | +0.09% | $169.7M → $169.8M |
| 1个月 | $16.7M | +10.92% | $153.3M → $169.8M |
| 1周 | $246.7K | +0.15% | $169.4M → $169.8M |
ETF Explorer估算:报告AUM变动减去市场涨跌影响,来源于我们自有的每日快照。非官方发行商申购/赎回数据。
基金官方资源
外部链接将在新标签页中打开发行商官网或SEC EDGAR。招募说明书及官方文件始终是权威依据,投资前请务必仔细阅读。
最新资讯: RBIL
过去7天内暂无文章直接提及该基金,现显示ETF综合资讯。
使用指引:AUM为基金规模;费用率为内嵌于收益中的年度成本;NAV为基金每份资产净值,市场价格可能略高于NAV(溢价)或略低于NAV(折价);总回报假设分配收益已再投资。每项数据集均显示各自的截止日期,因为持仓、资产和报价的更新频率不同。
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