Index tracked: iBoxx USD Contingent Convertible Liquid Developed Market AT1 (8% Issuer Cap) Index
TER
0.39%+ trans. 0.27%
Fund size
1.2 bn EUR
Tracking difference
—not computable
🇮🇹 tax rate
26.00%white list 0.00%
Replication
Physical
Income
Distributingquarterly
Duration
3.78 yrsmedium (3–7 years)
Launch 22 Jun 2018 · costs from the KID as of 14 Aug 2026 · 103 securities held · 9 venues (ESMA register)
The fund’s objective — in the issuer’s words
From the Key Information Document (KID) · 2 Sept 2026
Investment objective: The objective of the Fund is to achieve the total return performance of the iBoxx USD Contingent Convertible Liquid Developed Market AT1 (8% Issuer Cap) Index (the "Index"), less fees, expenses and transaction costs. Dividend Policy: This Share Class declares and distributes a dividend on a quarterly basis. Investment approach: The Fund is a passively managed ETF. To achieve the investment objective, the Fund will, as far as possible and practicable, hold all the securities in the Index in their respective weightings. The Fund may…
Performance since series start (in euro) — base 100
22 Jun 2018 → 1 Sept 2026 · dividends reinvested where declared by the issuer
High 128 (6 Jul 2026) · low 82 (23 Mar 2020) · last 128. Past performance is not indicative of future results.
RebalixXAT1 · IE00BFZPF439 · sheet of 4 September 2026
Tracking difference — year by year
Fund minus index, complete calendar years
Not honestly computable: hedged class: the issuer’s published index is unhedged — the gap would measure the exchange rate, not replication. We don’t show it
Fixed income — as declared by the issuer
Issuer page · 28 Aug 2026
Distributions · per share, in EUR
Frequency: quarterly · last 12 months: 0.9821 EUR (6.06% of NAV) · last ex-date 10 Sept 2026
Year
Payments
Total (EUR)
Dividend yield
2026
3
0.7377
—
2025
4
0.9852
+6.09%
2024
4
1.0371
+6.54%
2023
4
0.9832
+5.81%
2022
4
1.0236
+4.99%
Dividend yield: the year’s distributions over the share value (NAV) at the start of the year.
Holdings
Portfolio as declared by the issuer · 1 Sept 2026 · 103 securities · top-10 weight = 20.6%
The live sheet, always up to date rebalix.com/en/etf/IE00BFZPF439 Series, distributions, holdings and documents refresh daily.
Sheet produced on 4 September 2026 · data as of the dates shown section by section. Sources: official issuer documents (KID, factsheet, NAV and total-return series, declared portfolio), ESMA register (FIRDS), European Central Bank (FX), Italian tax authority / issuer (white-list share). Public methodology: rebalix.com/en/methodology. “—” = not published by the source, never estimated.
Informational document generated by rebalix.com: facts only, no recommendations. Not investment advice or investment research under Directive 2014/65/EU (MiFID II), nor an offer or solicitation. Past performance is not indicative of, nor a guarantee of, future results; the value of an investment can go down as well as up. Before any decision read the issuer’s KID and Prospectus; tax treatment depends on individual circumstances. Trademarks and logos belong to their respective owners and only identify the instrument and its issuer: no affiliation, sponsorship or endorsement.