iShares U.S. Fixed Income Balanced Risk Factor ETF
The iShares U.S. Fixed Income Balanced Risk Factor ETF (Ticker: FIBR) offers investors a well-rounded approach to fixed income investing by focusing on a balanced risk allocation strategy. Designed for those seeking comprehensive exposure to the U.S. bond market, this ETF falls under the Broad Market category, emphasizing a Broad-based strategy that targets Broad Credit across a spectrum of maturities.
FIBR strategically allocates investments across various credit sectors, presenting an opportunity to capture diversified income streams while maintaining a steady risk profile. The fund's unique approach lies in its ability to balance risk factors across different credit qualities and durations, making it a versatile choice for investors looking to optimize yield without disproportionately increasing risk.
Investors will find FIBR appealing for its broad coverage of the U.S. fixed income landscape, offering a blend of corporate, government, and other fixed income securities. This diversity not only enhances the potential for stable returns but also helps in mitigating volatility through the fund's meticulous risk-balancing strategy. With its emphasis on broad credit and a wide-ranging maturity profile, FIBR stands as a robust option for those seeking to enhance their fixed income portfolio with a balanced, risk-conscious investment vehicle.
iShares U.S. Fixed Income Balanced Risk Factor ETF (FIBR) Fund Flow Chart
iShares U.S. Fixed Income Balanced Risk Factor ETF (FIBR) 1 year Net Flows: $9M
FIBR ETF FAQ
What was FIBR’s price range in the past 12 months?
FIBR lowest ETF price was $85.36 and its highest was $88.92 in the past 12 months.