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iShares Core € Govt Bond UCITS ETFSEGA · IE00B4WXJJ64×UBS EUR Treasury Yield Plus UCITS ETF EUR disLU3079566918×
⎙ Download the report (PDF)
Performance over the common period — in euro, dividends reinvested where declared (base 100)
-3%-1%+1%+3%+5%Sept 2025Dec 2025Mar 2026Jun 2026Aug 2026-1%-1%
SEGA-1.0%UBS EUR Treasury Yield Plus UCITS ETF EUR dis-0.8%hover for values · click = full screentouch the chart for values · ⤢ = full screen
iShares Core € Govt Bond UCITS ETF
SEGA · IE00B4WXJJ64
UBS EUR Treasury Yield Plus UCITS ETF EUR dis
LU3079566918
Basics
Declared indexBloomberg Euro Treasury Bond IndexBloomberg Euro Treasury Bond Index
TER0.07%0.15%
Transaction costs (KID)0.01%0.00%
Fund size5.4 mld EUR5 mln EUR
Launch date17 Apr 200911 Sept 2025
ReplicationPhysical (optimised)Others
Income policyDistributingDistributing
CurrencyEUREUR
Currency hedgingNo no hedging declared in the share classNo no hedging declared in the share class
Italian taxation
Effective capital-gains rate12.84%14.87%
White-list share97.47%82.46%
Performance (in euro)
1 year-0.4%-1%
3 years+5.6%
5 years-13.5%
10 years-6.9%
Since launch (available series)+39%-1%
Risk
Volatility (ann.) · last year4.49%4.56%
Volatility (ann.) · last 3 years5.00%
Volatility (ann.) · last 5 years6.49%
Max drawdown · last year-5.01%-5.09%
Max drawdown · last 3 years-7.27%
Max drawdown · last 5 years-21.99%
Sharpe · last year-1.12-1.19
Sharpe · last 3 years-0.65
Sharpe · last 5 years-1.03
Sortino · last year-1.43-1.56
Sortino · last 3 years-0.86
Sortino · last 5 years-1.43
Tracking difference (3-year avg)-0.05%index series not published by the issuer
Fixed income
Duration6.76 years · effective · medium (3–7 years)6.92 years · modified · medium (3–7 years)
Investment-grade share99.7%not declared by the issuer
Heaviest rating bucketA (46.8%)not declared by the issuer
Most represented maturity3–5 years (19.2%)not declared by the issuer
Distributions (distributing classes)
Frequencysemi-annualsemi-annual
Distributions, last 12 months2.83 EUR per share0.23 EUR per share · 7 months of history: not a full year
Distribution yield (12 months / NAV)2.66%2.38%
Last ex-date16 Jul 2026 · 1.41 EUR13 Aug 2026 · 0.1452 EUR
Holdings
Securities held5500
Top-10 weight7.7%72.4%
Documents & exchanges
KID (PDF)DownloadDownload
Listing exchanges108
Borsa Italiana tickerSEGA
Why some cells show “—”: LU3079566918 series available from Sept 2025windows longer than the series cannot be computed — they will fill in on their own as time passes. Tracking difference additionally requires issuer-declared index returns and, for distributing classes, the total-return series: where these are missing, no number — better no data than an unverifiable one.
Fixed incomeSEGA: issuer page as of 20 Aug 2026 · LU3079566918: factsheet as of 31 Jul 2026. BBB−/Baa3 and above, from the declared breakdown.
Performance and chart converted to euro at official daily ECB rates: the comparison a euro investor actually lives. Facts declared by issuers and official registers only; no recommendation. Past performance is not indicative of future results. Metrics follow the site’s public methodology; for distributing funds, performance reinvests dividends where the issuer declares the total-return series.
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