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WisdomTree Bianco Total Return Fund

WTBNNASDAQ
ロゴは Benzinga Data から提供されました
Sector
Unknown
Region
US
AUM
60.26M
Fund Score

WisdomTree Bianco Total Return Fund (NASDAQ:WTBN) 引用とニュースの要約

WisdomTree Bianco Total Return Fund (NASDAQ: WTBN) 株価, ニュース, チャート, 株式調査, プロフィール.

開く$25.00
高値$25.00
52週高値$25.99
オウム60.26M
配当金$0.71
配当落ち日6 25, 2024
出来高654
時価総額-
管理手数料0.5%
PER(株価収益率-
前回終値$24.95
安値$25.00
52週安値$24.30
在庫切れ160.00K
利回り2.83%
配当頻度毎月
平均日次ボリューム5.05K
ベータ0.23
平均経費率0.59%
PBR(株価純資産倍率-

最近のニュース

ニュースが見つかりません

よくある質問

Q

WisdomTree Bianco Total Return Fundの株を購入するにはどうすればよいですか?(WTBN) 株を購入するにはどうすればよいですか?

A

WisdomTree Bianco Total Return Fundの株式を購入することができます。(NASDAQ:WTBN) の株式を、どのオンライン証券会社でも購入することができます。

ベストの証券会社リストを見る

Q

WisdomTree Bianco Total Return Fundの競合は?(WTBN) の競合は?

A

WisdomTree Bianco Total Return Fundに該当する競合会社はありません。

Q

WisdomTree Bianco Total Return Fund(WTBN)株の予想または目標株価は何ですか?

A

WisdomTree Bianco Total Return Fund については、コンセンサス目標価格を提供するための分析がありません。

Q

WisdomTree Bianco Total Return Fundの現在の株価は?(WTBN) の現在の株価は?

A

WisdomTree Bianco Total Return Fundの株価はWisdomTree Bianco Total Return Fundです。(NASDAQ: WTBN) の最終更新日25は$2025年5月15日 9:30 GMT-4です。

Q

WisdomTree Bianco Total Return Fund ({{シンボル}}の株価は?(WTBN) は配当金を支払っていますか?

A

WisdomTree Bianco Total Return Fundの今後の配当はありません。

Q

WisdomTree Bianco Total Return Fundはいつですか?(NASDAQ:WTBN) の決算発表はいつですか?

A

WisdomTree Bianco Total Return Fund does not have any upcoming earnings scheduled.

Q

WisdomTree Bianco Total Return Fundは (WTBN) は分割するのですか?

A

WisdomTree Bianco Total Return Fundの今後の分割はありません。

開く$25.00
高値$25.00
52週高値$25.99
オウム60.26M
配当金$0.71
配当落ち日6 25, 2024
出来高654
時価総額-
管理手数料0.5%
PER(株価収益率-
前回終値$24.95
安値$25.00
52週安値$24.30
在庫切れ160.00K
利回り2.83%
配当頻度毎月
平均日次ボリューム5.05K
ベータ0.23
平均経費率0.59%
PBR(株価純資産倍率-
会社概要
セクター
該当なし
業界
該当なし
ETF Details
SectorUnknown
CategoryLong Term High Yield
Investment StyleHigh Yield Bond
Fund Inception12 20, 2023
Managers
Todd Frysinger
Marlene Walker Smith
Vlasta Sheremeta
Michael Stoll
David France
DefinitionThough fixed income fund portfolio contains bonds with long duration, the majority display low credit quality
Investment Policy
The Fund employs a passive management or indexing investment approach designed to track the performance of the Index. The Fund generally uses a replication strategy to achieve its investment objective, meaning it generally invests in all of the securities of the Index in approximately the same proportion as the Index. However, the Fund also may use a representative sampling strategy to invest in a sample of the securities in the Index whose risk, return and other characteristics resemble the risk, return and other characteristics of the Index as a whole. The Fund generally will use a representative sampling strategy when the Adviser or Sub-Adviser believes it will better position the Fund to seek to achieve its investment objective, such as when buying each security in an Index is impracticable or inefficient, or when one or more securities in the Index becomes unavailable, including as a result of legal restrictions or limitations that apply to the Fund and/ or a security in the Index. Under normal circumstances, the Fund primarily invests in the constituent exchange-traded funds (ETF) of the Index. However, the Fund also may invest directly in fixed-income securities.
Top ETF Holdings
SymbolNameShare %
MBBIshares Mbs ETF40.6%
IEIIshares 37 Year Treasu...11.0%
GVMXXState Street Navigator...16.0%
USDUWisdomTree Bloomberg U...9.81%
SCHQSchwab Long-Term U.S. ...1.03%
VCSHVanguard Short-term Co...8.93%
VCLTVanguard Long-term Cor...1.00%
VCITVanguard Intermediate-...5.78%
IEFIshares 7-10 Year Trea...10.9%
SCHOSchwab Short-term U.S....6.46%
BKLNInvesco Senior Loan ET...20.0%
MTBASimplify Mbs ETF8.76%
LQDBIshares Bbb Rated Corp...4.48%
VLTCXVanguard Long-term Cor...10.9%
ELDWisdomtree Emerging Ma...9.86%