ETF constituents for IBCM

Below, a list of constituents for IBCM (iShares € Govt Bond 7-10yr UCITS ETF) is shown. In total, IBCM consists of 31 securities.

Note: The data shown here is as of date Mai 29, 2026 (the latest that can be sourced directly from the fund provider).

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Emittententicker Name Sektor Marktwert Gewichtung (%) Kurs Duration Fälligkeit Kupon
FRTR FRANCE (REPUBLIC OF) RegS Schuldverschreibungen 81.592.379,54 804.0 10129.0 652.0 25.Nov.2033 350.0
FRTR FRANCE (REPUBLIC OF) RegS Schuldverschreibungen 80.238.833,61 790.0 9971.0 797.0 25.Nov.2035 350.0
FRTR FRANCE (REPUBLIC OF) Schuldverschreibungen 69.269.113,96 682.0 9791.0 782.0 25.Mai2035 320.0
FRTR FRANCE (REPUBLIC OF) RegS Schuldverschreibungen 57.513.584,30 567.0 9696.0 739.0 25.Nov.2034 300.0
DBR GERMANY (FEDERAL REPUBLIC OF) RegS Schuldverschreibungen 50.633.342,06 499.0 9976.0 838.0 15.Feb.2036 290.0
DBR GERMANY (FEDERAL REPUBLIC OF) RegS Schuldverschreibungen 44.191.463,38 435.0 9826.0 724.0 15.Aug.2034 260.0
DBR GERMANY (FEDERAL REPUBLIC OF) RegS Schuldverschreibungen 43.798.945,87 431.0 9886.0 644.0 15.Aug.2033 260.0
DBR GERMANY (FEDERAL REPUBLIC OF) RegS Schuldverschreibungen 43.127.443,78 425.0 9719.0 776.0 15.Feb.2035 250.0
DBR GERMANY (FEDERAL REPUBLIC OF) Schuldverschreibungen 43.100.565,62 425.0 9762.0 798.0 15.Aug.2035 260.0
DBR GERMANY (FEDERAL REPUBLIC OF) RegS Schuldverschreibungen 42.492.045,88 419.0 9580.0 702.0 15.Feb.2034 220.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 38.297.680,52 377.0 9929.0 801.0 31.Okt.2035 320.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 37.558.074,21 370.0 10299.0 645.0 31.Okt.2033 355.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 33.951.964,17 334.0 10184.0 722.0 31.Okt.2034 345.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 32.792.245,12 323.0 9927.0 777.0 30.Apr.2035 315.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 31.188.237,11 307.0 10067.0 700.0 30.Apr.2034 325.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 30.756.495,17 303.0 9969.0 846.0 30.Apr.2036 330.0
BTPS ITALY (REPUBLIC OF) RegS Schuldverschreibungen 29.299.927,74 289.0 10655.0 635.0 01.Nov.2033 435.0
BTPS ITALY (REPUBLIC OF) RegS Schuldverschreibungen 28.509.441,40 281.0 9875.0 808.0 01.Feb.2036 345.0
BTPS ITALY (REPUBLIC OF) Schuldverschreibungen 27.898.202,95 275.0 10076.0 768.0 01.Aug.2035 365.0
BTPS ITALY (REPUBLIC OF) RegS Schuldverschreibungen 27.686.472,25 273.0 10022.0 785.0 01.Okt.2035 360.0
BTPS ITALY (REPUBLIC OF) Schuldverschreibungen 27.317.988,45 269.0 10261.0 728.0 01.Feb.2035 385.0
BTPS ITALY (REPUBLIC OF) RegS Schuldverschreibungen 27.059.664,57 267.0 10548.0 657.0 01.März2034 420.0
BTPS ITALY (REPUBLIC OF) RegS Schuldverschreibungen 25.707.624,51 253.0 10292.0 684.0 01.Juli2034 385.0
NETHER NETHERLANDS (KINGDOM OF) Schuldverschreibungen 17.728.469,04 175.0 9628.0 796.0 15.Juli2035 250.0
NETHER NETHERLANDS (KINGDOM OF) Schuldverschreibungen 16.687.975,55 164.0 9708.0 718.0 15.Juli2034 250.0
NETHER NETHERLANDS (KINGDOM OF) Schuldverschreibungen 16.028.812,71 158.0 9779.0 638.0 15.Juli2033 250.0
DBR GERMANY (FEDERAL REPUBLIC OF) Schuldverschreibungen 10.056.214,43 99.0 9724.0 776.0 15.Feb.2035 250.0
ICSEALD BLK LEAF FUND AGENCY ACC T0 EUR Cash und/oder Derivate 3.858.275,43 38.0 10907.0 13.0 nan 198.0
GBP GBP CASH Cash und/oder Derivate 148.572,97 1.0 11551.0 0.0 nan 0.0
USD USD CASH Cash und/oder Derivate 1.068,86 0.0 8569.0 0.0 nan 0.0
EUR EUR CASH Cash und/oder Derivate -3.447.725,29 -34.0 10000.0 0.0 nan 0.0