

$78.61
TER
0.03%
Low Cost1Y Return
-1.07%
AUM
$51.9B
High LiquidityThis fund is designed to offer a consistent stream of income while exhibiting relatively low price volatility. It predominantly allocates its assets to high-quality corporate debt, specifically those deemed investment-grade. Its holdings consist of corporate bonds with a dollar-weighted average matu...
Top holdings
MKTLIQ 12/31/2049
CMT001142
United States Treasury Note/Bond
4.13% · 06/30/2028
Bank of America Corp
3.42% · 12/20/2028
AbbVie Inc
3.2% · 11/21/2029
Morgan Stanley
4.81% · 04/16/2032
CVS Health Corp
4.3% · 03/25/2028
T-Mobile USA Inc
3.88% · 04/15/2030
Amazon.com Inc
4.25% · 03/13/2031
Boeing Co/The
5.15% · 05/01/2030
Top holdings
MKTLIQ 12/31/2049
CMT001142
United States Treasury Note/Bond
4.13% · 06/30/2028
Bank of America Corp
3.42% · 12/20/2028
AbbVie Inc
3.2% · 11/21/2029
Morgan Stanley
4.81% · 04/16/2032
CVS Health Corp
4.3% · 03/25/2028
T-Mobile USA Inc
3.88% · 04/15/2030
Amazon.com Inc
4.25% · 03/13/2031
Boeing Co/The
5.15% · 05/01/2030
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Learn the fundamentals behind this asset.
An Exchange-Traded Fund is a single tradable share that holds dozens or hundreds of companies inside it. One purchase, one ticker, broad market exposure, and you can buy or sell it during market hours like any stock.
The annual fee a fund charges to manage your money. It sounds tiny on a year-by-year basis. Compounded over decades, it is the single most controllable factor in long-term investment returns.
Diversification is what happens when the things you own do not all rise and fall together. It is the closest thing investing has to a free lunch, but only if you actually buy assets that move differently, not the same asset in five different costumes.
Buy a fixed amount on a fixed schedule, regardless of price. The most-recommended retail investment habit, because it removes the single biggest source of underperformance: timing decisions.