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US Treasury 12 Month Bill ETF (OBIL)

US Treasury 12 Month Bill ETF (OBIL)
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Overview

Name US Treasury 12 Month Bill ETF
Fund Family FM Investments
Underlying Index ICE BofA US 12-Month Treasury Bill Index
Inception Date 11/15/22
First Trade Date 11/15/22
Leverage Long
Asset Class Fixed Income

Sector:

N/A

Description:

The US Treasury 12 Month Bill ETF seek investment results that correspond (before fees and expenses) generally to the price and yield performance of the ICE BofA US 12-Month Treasury Bill Index.

Investment Information

Alpha 0.00
60-Month Beta 0.01
Standard Deviation +0.88
Shares Outstanding, K 5,970.00
Managed Assets, $K 299,305.90 K
Net Asset Value 50.14
First Trade Price 50.12
P/E Ratio 0.00
Management Fee 0.15%
Options No
Latest Dividend 0.145
Last Dividend Date 02/26/26
Annual Dividend 1.88
Annual Dividend Yield 3.75%
1-Year Return -0.07%
3-Year Return -0.37%
5-Year Return 0.00%
Management Expense Ratio 0.15%

OBIL Dividends

Date Value
02/26/26 $0.1450
01/29/26 $0.1500
12/30/25 $0.1480
12/02/25 $0.1480
11/03/25 $0.1450
10/01/25 $0.1500
09/02/25 $0.1570
08/01/25 $0.1640
07/01/25 $0.1800
06/02/25 $0.1630
05/01/25 $0.1620
04/01/25 $0.1680
03/03/25 $0.1700
02/03/25 $0.1700
12/30/24 $0.1750
12/02/24 $0.1730
11/01/24 $0.1610
10/01/24 $0.1720
09/03/24 $0.1860
08/01/24 $0.2040
07/01/24 $0.2060
06/03/24 $0.2070
05/01/24 $0.2040
04/01/24 $0.2010
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