Ultra 7-10 Year Treasury ETF (UST)

Description

The investment seeks to track the performance of the ICE U.S. Treasury 7-10 Year Bond Index. The UST ETF contains constituents. It is focused on holdings in the region.

Price $44.52 as of 2022-10-20

Cost/Risk/Yield

Dividend yield
Expense ratio0.95%
Average spread0.449%
1Y roundtrip cost1.399%

Historic prices

Total Returns (including dividends)

Monthly returns heatmap

Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
2022-3.9%-0.9%-8.3%-8.1%1.1%-1.9%6.1%-8.5%-9.7%-5.7%-39.9%
2021-2.2%-4.7%-4.7%2.1%0.6%1.9%4.4%-1.8%-2.9%-0.8%2.1%-1.8%-7.7%
20206.6%5.9%7.2%0.5%0.4%-0.1%1.8%-2.0%0.6%-2.8%0.5%-0.6%18.0%
20191.0%-1.2%5.0%-1.3%5.9%2.1%-0.1%7.7%-2.6%0.1%-1.7%-1.8%13.2%
2018-4.7%-1.9%2.5%-3.0%1.7%0.2%-1.4%1.8%-2.6%-1.0%2.5%5.2%-0.6%
20170.3%1.2%0.1%2.0%1.4%-1.1%0.5%2.8%-3.1%-0.3%-0.9%0.3%3.3%
20166.6%2.8%-0.4%-0.6%-0.1%6.1%0.4%-2.1%0.2%-2.9%-8.5%-0.2%1.3%
20158.6%-4.9%1.5%-1.3%-0.9%-3.2%2.8%0.1%3.1%-1.5%-0.9%-0.9%2.6%
20146.0%0.6%-1.0%1.5%3.4%-0.4%-0.6%3.8%-2.3%3.0%2.5%0.2%16.7%
2013-2.6%2.2%0.6%3.0%-6.1%-5.2%-0.7%-2.9%3.5%1.5%-1.8%-4.2%-12.7%
20121.9%-2.0%-3.3%5.0%5.9%-1.2%2.6%-0.3%-0.6%-1.1%1.9%-2.0%6.9%
20110.2%-1.7%0.3%3.1%5.1%-0.7%5.7%9.8%4.2%-2.8%1.1%3.5%27.8%
17.8%-4.7%-0.5%2.9%18.4%-3.5%21.5%8.3%-11.9%-14.2%-3.2%-2.3%

Historical Dividends

Monthly dividend heatmap

Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
20210.050.070.020.14
20200.110.110.090.080.39
20190.290.170.150.280.89
20180.150.190.260.350.95
20170.060.130.130.170.48
20160.080.070.120.27
20150.150.110.040.130.42
20140.770.171.200.582.72
20120.010.01
20110.000.010.01
0.000.001.570.000.001.050.000.001.960.000.001.71

Sectors and Top Holdings

Security % Assets
Top 0 Weights0.00%

Compare with similar ETFs

UST FLGV GOVT IBTJ IBTK IEF
Product nameUltra 7-10 Year Treasury ETFFranklin Liberty U.S. Treasury Bond ETFiShares Core U.S. Treasury Bond ETFiShares iBonds Dec 2029 Term Treasury ETFiShares iBonds Dec 2030 Term Treasury ETFiShares 7-10 Year Treasury Bond ETF
IssuerProSharesFrankliniSharesiSharesiSharesiShares
Price$44.52$20.342$22.23$21.05$19.03$92.93
Expense Ratio0.95%better0.09%better0.05%better0.07%better0.07%better0.15%
Average Spread0.449%0.295%0.045%0.048%0.105%0.011%
AUM$13,285,600$352,334,000$13,180,000,000$14,795,500$2,862,260$11,653,500,000
Shares298,41917,320,534592,891,749702,875150,408125,400,733
Average Daily Volume7,51774,72317,608,07954,036240,2546,185,477
Home pageVisit external siteVisit external siteVisit external siteVisit external siteVisit external site
Inception Date2010-01-192020-06-092012-02-142020-02-252020-07-142002-07-22
Index TrackedICE U.S. Treasury 7-10 Year Bond IndexNo Underlying IndexICE U.S. Treasury Core Bond IndexICE 2029 Maturity US Treasury IndexICE 2030 Maturity US Treasury IndexICE U.S. Treasury 7-10 Year Bond Index
CategoryLeveraged BondsGovernment BondsGovernment BondsGovernment BondsGovernment BondsGovernment Bonds
Asset ClassBondBondBondBondBondBond
Asset Class Size
Value or Growth
Region
CountriesU.S.U.S.U.S.U.S.U.S.U.S.
Annual Dividend Rate$0$0.441$0.334$0.281$0.338$1.564
Annual Dividend Yield0.000%0.022%0.015%0.013%0.018%0.017%
Number of Holdings391386617
YTD Return-34.27%-13.72%-15.75%-15.28%-17.65%-18.18%
Beta0.46-0.050.09-0.10-0.060.25
Upside Beta-0.01-0.180.00-0.21-0.290.14
Downside Beta-0.08-0.24-0.02-0.36-0.360.15
Volatility 1Y18.63%6.03%7.20%7.69%9.04%9.53%
Sharpe Ratio 3Y-1.350.00-1.450.000.00-1.39
Treynor Ratio 3Y-0.030.00-0.060.000.00-0.03

Historic volatility

Implied volatility

Put/Call Ratio (option volume)

Put/Call Ratio (open interest)

Volatility Spread

Volatility Skew