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 Juni 18, 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 79.274.806 799.0 10110.0 647.0 25.Nov.2033 350.0
FRTR FRANCE (REPUBLIC OF) RegS Schuldverschreibungen 76.882.890 775.0 9953.0 792.0 25.Nov.2035 350.0
FRTR FRANCE (REPUBLIC OF) Schuldverschreibungen 67.837.134 684.0 9773.0 777.0 25.Mai2035 320.0
FRTR FRANCE (REPUBLIC OF) RegS Schuldverschreibungen 57.760.365 582.0 9679.0 734.0 25.Nov.2034 300.0
DBR GERMANY (FEDERAL REPUBLIC OF) RegS Schuldverschreibungen 48.590.266 490.0 9973.0 833.0 15.Feb.2036 290.0
DBR GERMANY (FEDERAL REPUBLIC OF) RegS Schuldverschreibungen 44.035.238 444.0 9823.0 719.0 15.Aug.2034 260.0
DBR GERMANY (FEDERAL REPUBLIC OF) RegS Schuldverschreibungen 43.009.738 434.0 9717.0 771.0 15.Feb.2035 250.0
DBR GERMANY (FEDERAL REPUBLIC OF) Schuldverschreibungen 42.462.819 428.0 9760.0 793.0 15.Aug.2035 260.0
DBR GERMANY (FEDERAL REPUBLIC OF) RegS Schuldverschreibungen 42.279.965 426.0 9576.0 697.0 15.Feb.2034 220.0
DBR GERMANY (FEDERAL REPUBLIC OF) RegS Schuldverschreibungen 40.560.296 409.0 9878.0 639.0 15.Aug.2033 260.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 36.847.414 372.0 9920.0 796.0 31.Okt.2035 320.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 35.925.049 362.0 10286.0 640.0 31.Okt.2033 355.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 33.836.557 341.0 10174.0 717.0 31.Okt.2034 345.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 32.738.230 330.0 9918.0 772.0 30.Apr.2035 315.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 31.054.109 313.0 10056.0 695.0 30.Apr.2034 325.0
SPGB SPAIN (KINGDOM OF) Schuldverschreibungen 29.564.174 298.0 9960.0 841.0 30.Apr.2036 330.0
BTPS ITALY (REPUBLIC OF) RegS Schuldverschreibungen 27.871.206 281.0 10647.0 630.0 01.Nov.2033 435.0
BTPS ITALY (REPUBLIC OF) Schuldverschreibungen 27.562.700 278.0 10081.0 763.0 01.Aug.2035 365.0
BTPS ITALY (REPUBLIC OF) RegS Schuldverschreibungen 27.396.078 276.0 9882.0 803.0 01.Feb.2036 345.0
BTPS ITALY (REPUBLIC OF) Schuldverschreibungen 27.263.254 275.0 10263.0 723.0 01.Feb.2035 385.0
BTPS ITALY (REPUBLIC OF) RegS Schuldverschreibungen 26.981.140 272.0 10543.0 652.0 01.März2034 420.0
BTPS ITALY (REPUBLIC OF) RegS Schuldverschreibungen 26.592.878 268.0 10028.0 780.0 01.Okt.2035 360.0
BTPS ITALY (REPUBLIC OF) RegS Schuldverschreibungen 25.642.668 259.0 10290.0 679.0 01.Juli2034 385.0
NETHER NETHERLANDS (KINGDOM OF) Schuldverschreibungen 17.139.857 173.0 9620.0 790.0 15.Juli2035 250.0
NETHER NETHERLANDS (KINGDOM OF) Schuldverschreibungen 16.624.858 168.0 9700.0 713.0 15.Juli2034 250.0
NETHER NETHERLANDS (KINGDOM OF) Schuldverschreibungen 15.515.965 156.0 9769.0 633.0 15.Juli2033 250.0
DBR GERMANY (FEDERAL REPUBLIC OF) Schuldverschreibungen 10.107.336 102.0 9721.0 771.0 15.Feb.2035 250.0
ICSEALD BLK LEAF FUND AGENCY ACC T0 EUR Cash und/oder Derivate 231.593 2.0 10919.0 14.0 nan 225.0
GBP GBP CASH Cash und/oder Derivate 186.690 2.0 11557.0 0.0 nan 0.0
EUR EUR CASH Cash und/oder Derivate 8.381 0.0 10000.0 0.0 nan 0.0
USD USD CASH Cash und/oder Derivate 1.079 0.0 8628.0 0.0 nan 0.0