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本帖最后由 SQDU 于 15-6-2019 22:09 编辑
美股ETF总结 1 of 3: U.S. Market ETF
https://bbs.sgcn.org/forum.php?m ... 997&fromuid=1091558
(出处: 新加坡狮城论坛)
美股ETF总结 2 of 3: Ex-U.S. Market ETF
https://bbs.sgcn.org/forum.php?m ... 011&fromuid=1091558
(出处: 新加坡狮城论坛)
这是我总结的ETF的最后一个部分,Fixed Income,主要是指国债、企业债(投资级)和垃圾债。
Fixed Income ETF又细分成3个部分:
1. U.S. Market; 美国市场的债券ETF
2. Global;全球市场的债券ETF
3. Emerging Market. 针对新兴市场的债券ETF。
1. U.S. Fixed Income ETF
1.1 美国 Broad Market Bond ETF
TICKER
| SEGMENTS
| EXPENSE RATIO
| AUM
| 1 YEAR RETURN
| 3 YEAR RETURN
| 5 YEAR RETURN
| 10 YEAR RETURN
| DIVIDEND YIELD
| AGG
| Fixed Income: U.S. - Broad Market, Broad-based Investment Grade
| 0.05%
| $62.95B
| 7.31%
| 2.17%
| 2.82%
| 3.80%
| --
| BND
| Fixed Income: U.S. - Broad Market, Broad-based Investment Grade
| 0.04%
| $40.49B
| 7.25%
| 2.13%
| 2.80%
| 3.79%
| --
| AGG和BND的走势几乎一模一样,就选债王ETF AGG吧,600多亿的市值啊,可以说囊括了美国所有类型的债券。
1.2 美国 Corporate, Broad-based Investment Grade
LQD
| Fixed Income: U.S. - Corporate, Broad-based Investment Grade
| 0.15%
| $33.21B
| 9.95%
| 3.52%
| 3.97%
| 6.14%
| --
| VCIT
| Fixed Income: U.S. - Corporate, Broad-based Investment Grade Intermediate
| 0.07%
| $24.60B
| 9.85%
| 3.41%
| 3.99%
| --
| --
|
LQD:美国企业债ETF;
VCIT:美国中期企业债ETF。
1.3 美国 优先证券及收益
TICKER
| SEGMENTS
| EXPENSE RATIO
| AUM
| 1 YEAR RETURN
| 3 YEAR RETURN
| 5 YEAR RETURN
| 10 YEAR RETURN
| DIVIDEND YIELD
| PFF
| Fixed Income: U.S. - Corporate, Preferred
| 0.46%
| $15.20B
| 3.60%
| 3.26%
| 4.47%
| 7.48%
| 3.05%
|
Preferred and Income Securities ETF,还带分红。与其类似的另外一只针对Global 的 优先证券及收益类ETF为FPE,下面会提及。
1.4 美国国债ETF (短、中、长国债)
TICKER
| | EXPENSE RATIO
| AUM
| 1 YEAR RETURN
| 3 YEAR RETURN
| 5 YEAR RETURN
| 10 YEAR RETURN
| DIVIDEND YIELD
| SHY
| iShares 1-3 Year Treasury Bond ETF
| 0.15%
| $18.09B
| 3.59%
| 1.13%
| 1.02%
| 1.09%
| --
| IEF
| iShares 7-10 Year Treasury Bond ETF
| 0.15%
| $16.26B
| 9.58%
| 1.20%
| 3.19%
| 4.41%
| --
| TLT
| iShares 20+ Year Treasury Bond ETF
| 0.15%
| $14.08B
| 12.42%
| 1.51%
| 5.96%
| 7.06%
| --
|
美国国债ETF,有1-3年期,7-10年期的,还有超长期的。最近美国又在喊减息,国债一路涨。
1.5 美国垃圾债(High Yield):HYG
TICKER
| SEGMENTS
| EXPENSE RATIO
| AUM
| 1 YEAR RETURN
| 3 YEAR RETURN
| 5 YEAR RETURN
| 10 YEAR RETURN
| DIVIDEND YIELD
| HYG
| Fixed Income: U.S. - Corporate, Broad-based High Yield
| 0.49%
| $15.78B
| 6.19%
| 6.39%
| 3.49%
| 7.47%
| --
|
High Yield Bond,就是垃圾债。虽然垃圾债违约风险高,可是ETF的好处是一揽子,每只垃圾债只占ETF总仓位一个很小的比例,哪怕碰到违约了,影响也很轻微。别小看垃圾债,近10年的年化收益率达到7%以上,近5年也有接近3.5%的水平。
2. Global
2.1 Global Ex-U.S. 债券ETF(对冲了美元):BNDX
TICKER
| SEGMENTS
| EXPENSE RATIO
| AUM
| 1 YEAR RETURN
| 3 YEAR RETURN
| 5 YEAR RETURN
| 10 YEAR RETURN
| DIVIDEND YIELD
| BNDX
| Fixed Income: Global Ex-U.S. - Broad Market, Broad-based Investment Grade
| 0.09%
| $17.64B
| 8.08%
| 3.42%
| 4.20%
| --
| --
|
在1.1那介绍了AGG和BND这两只美国市场债券ETF,这只BNDX则是对应的Ex-U.S.的即美国市场以外的债券大包围。
2.2 Global 优先证券及收益:FPE
TICKER
| SEGMENTS
| EXPENSE RATIO
| AUM
| 1 YEAR RETURN
| 3 YEAR RETURN
| 5 YEAR RETURN
| 10 YEAR RETURN
| DIVIDEND YIELD
| FPE
| Fixed Income: Global - Corporate, Broad-based
| 0.85%
| $3.73B
| 6.59%
| 6.09%
| 6.08%
| --
| --
|
Preferred and Income Securities ETF,妥妥的6%以上收益,而且短中长的年化收益都很稳定,比CPF强,也比一些REIT的分红率高。
3. Emerging Market
3.1 Emerging Market国债(以本币发行,非美元发行)
TICKER
| SEGMENTS
| EXPENSE RATIO
| AUM
| 1 YEAR RETURN
| 3 YEAR RETURN
| 5 YEAR RETURN
| 10 YEAR RETURN
| DIVIDEND YIELD
| EMB
| Fixed Income: Emerging Markets - Government, Non-Native Currency
| 0.39%
| $15.06B
| 9.67%
| 4.72%
| 4.29%
| 6.79%
| --
| PCY
| Fixed Income: Emerging Markets - Government, Non-Native Currency
| 0.50%
| $3.29B
| 11.63%
| 4.33%
| 4.60%
| 7.27%
| --
|
如果觉得垃圾债有风险,那么可以考虑新兴市场的国债。年化收益率妥妥地在4%以上,不比新加坡公积金CPF差。
以上就是我梳理的三篇ETF总结,欢迎和大家交流,谢谢!
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