Skip to main content
NAV
$9.69
as of 20 Aug 2026
Base Currency
USD
1 Day Nav Change
+$0,00 (+0,04%)
as of 20 Aug 2026
Total Fund Assets USD
$4,722.95 M
as of 20 Aug 2026
Max TER
0.06%
as of 30 Jun 2026
Morningstar Medalist rating
as of 30 Jun 2026

Fund Information as of 22 Aug 2026

ISIN LU0773065791
Inception Date 29 Jun 2012
Countries of Registration Ireland, Luxembourg, Switzerland, United Kingdom
Base Currency USD
Income Treatment Accumulation
Settlement Cycle Redemption Settlement Cycle, DD+2; Subscription Settlement Cycle, DD+2
Trading Cycle -
Max TER 0.06%
Benchmark Bloomberg Global Treasury Index
Minimum Investment 10000000
UCITS Compliant Yes
Domicile Luxembourg
Investment Manager State Street Global Advisors Europe Limited
Sub-Investment Manager(s)

State Street Global Advisors Limited

Fund Umbrella State Street Global Advisors Luxembourg SICAV
Replication Method Stratified Sampling
Distribution Frequency -
PEA Eligible No
ISA Eligible Yes
SIPP Eligible Yes
UK Reporting Status No
Securities Lending Yes
Investment Approach Index
Geography of Investment Global
Vehicle Investment Company

Fund Net Asset Value as of 20 Aug 2026

NAV $9.69
Share Class Assets $32.55 M
Shares in Issue 3,359,700
Total Fund Assets USD $4,722.95 M

Fund Performance

  • Fund Inception Date: 29 Jun 2012

as of 31 Jul 2026

As Of 1 Month 3 Month YTD 1 Year 3 Year 5 Year 10 Year Since Inception
29 Jun 2012
Fund Net 31 Jul 2026 -0.32% -1.00% -1.19% 0.19% 1.51% -3.40% -0.94% -0.34%
Difference 31 Jul 2026 -0.04% 0.02% 0.02% 0.03% -0.06% -0.04% -0.06% -0.07%
Fund Gross 31 Jul 2026 -0.28% -1.00% -1.17% 0.23% 1.58% -3.35% -0.89% -0.27%
Difference 31 Jul 2026 0.00% 0.01% 0.03% 0.07% 0.01% 0.00% -0.01% -0.05%
Index
Bloomberg Global Treasury Index
31 Jul 2026 -0.28% -1.01% -1.21% 0.16% 1.57% -3.36% -0.88% -0.27%

as of 31 Jul 2026

As Of 1 Month 3 Month YTD 1 Year 3 Year 5 Year 10 Year Since Inception
29 Jun 2012
Fund Net 31 Jul 2026 -0.32% -1.00% -1.19% 0.19% 4.61% -15.88% -9.04% -3.90%
Difference 31 Jul 2026 -0.04% 0.02% 0.02% 0.03% -0.17% -0.18% -0.56% -0.79%
Fund Gross 31 Jul 2026 -0.28% -1.00% -1.17% 0.23% 4.81% -15.68% -8.55% -3.18%
Difference 31 Jul 2026 0.00% 0.01% 0.03% 0.07% 0.03% 0.02% -0.06% -0.60%
Index
Bloomberg Global Treasury Index
31 Jul 2026 -0.28% -1.01% -1.21% 0.16% 4.78% -15.70% -8.49% -3.10%

as of 31 Jul 2026

2026 (YTD) 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Fund Net -1.19% 6.88% -3.72% 4.03% -17.47% -6.67% 9.43% 5.47% -0.41% 7.13% 1.58%
Difference 0.02% 0.06% -0.15% -0.15% 0.00% -0.06% -0.07% -0.12% -0.04% -0.16% -0.07%
Fund Gross -1.17% 6.93% -3.67% 4.08% -17.42% -6.61% 9.49% 5.52% -0.35% 7.30% 1.64%
Difference 0.03% 0.11% -0.09% -0.10% 0.05% -0.01% -0.01% -0.07% 0.03% 0.01% -0.01%
Index
Bloomberg Global Treasury Index
-1.21% 6.82% -3.58% 4.18% -17.47% -6.60% 9.50% 5.59% -0.38% 7.29% 1.65%

Holdings

Download All Holdings: Download Daily Holdings