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ETF sheet · Issuer-declared data

iShares $ Floating Rate Bond UCITS ETFIndex, costs, listings and taxation

ISIN: IE00BDDRDZ46Ticker: 0A0A (London SE) · FRMX (SIX)Issuer: iSharesClass: Hedged
Issuer-declared data
Declared index
Bloomberg US Floating Rate Note<5 Years Index
TER
0.15%
Income policy
Accumulating
Fund assets
11.8 bn MXN
NAV
983.89 MXN (30 July 2026)
Domicile
Ireland
Inception date
31 August 2018
Data as declared by iShares in the issuer’s official files and endpoints · collected on 31 July 2026 (monthly refresh). Facts only, no recommendation.
Italian taxation
Effective rate on capital gains
23.04%
White-list share
21.91%
From the government-bond («white list») share certified by the issuer every semester: 12.5% on that portion, 26% on the rest.
Deep-dive into this fund’s taxation →

Where it shows up commission-free in Italy

According to the official lists published by the brokers (downloaded and cross-checked by us), these share classes of the fund appear tradable with zero fees:

IE00BDFGJ627QDV4(class: USD (Acc))
  • XTBzero (up to €100,000 monthly volume, unreachable for a retail plan); fractions available in plans
IE00BZ048462FLTR(class: USD (Dist))
  • XTBzero (up to €100,000 monthly volume, unreachable for a retail plan); fractions available in plans
Full terms, traps and method in the observatory: Free savings plans and zero-commission ETFs: the broker survey

Official lists verified on 1 August 2026. We record published terms — this is neither an invitation to open accounts nor a recommendation: lists change, the broker’s documents prevail. Trade Republic, Scalable Capital and Trading 212 publish no per-ISIN lists and don’t appear here.

Frequently asked questions

Which index does iShares $ Floating Rate Bond UCITS ETF track?
The issuer iShares declares the benchmark: Bloomberg US Floating Rate Note<5 Years Index.
How much does FRMXNX cost?
The issuer-declared TER is 0.15% per year. On sale, the capital gain is taxed at an effective 23.04% rate in Italy (white-list share 21.91%).
Transparency note
The data in this sheet is declared by iShares in the issuer’s official files and endpoints, collected by Rebalix with a monthly refresh; taxation derives from the issuer’s tax documents (Italian Law Decree 138/2011). This is factual information for informational purposes only: it is not financial or tax advice, nor an investment recommendation. Read the fund’s KID and prospectus before investing.