iShares Australian Bond Index

BGL0105AU

iShares Australian Bond Index BGL0105AU Strategy

We believe that stratified sampling is the most appropriate investment strategy to track the performance of the Index as it takes into account liquidity, transaction cost impact and overall risk relative to the Index.
The investment objective & strategy is a summary of the investment's principal strategy as written in the prospectus. This information is pulled from the most recent product disclosure document.

iShares Australian Bond Index News & Analysis

fixed-income

Higher risk fixed interest tops performance tables: bond fund recap FY 2021

Australian bonds lag while riskier credit benefits from economic recovery and central bank support.
funds

Defending, or on the defensive

The consensus position for several years has been to favour credit risk, to varying degrees, and this came unstuck.

Morningstar Investment Ideas

Markets

Index
Last price
Change
% Change
All Ordinaries8,571.30125.30-1.44%
CAC 407,726.2060.580.79%
DAX 4022,653.86273.671.22%
Dow JONES (US)46,212.10634.631.39%
FTSE 1009,894.1524.18-0.24%
HKSE25,056.24673.772.76%
NASDAQ21,946.76299.151.38%
Nikkei 22552,252.28736.791.43%
NZX 50 Index12,701.75197.97-1.53%
S&P 5006,582.1975.711.16%
S&P/ASX 2008,379.40125.20-1.47%
SSE Composite Index3,881.2868.001.78%

Market Movers